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[单选题]
某公司股票的β系数为2,无风险利率为4%,市场上所有股票的平均报酬率为12%,则该公司股票的必要报酬率为()。
A.8%
B.15%
C.11%
D.20%
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A.8%
B.15%
C.11%
D.20%
A.8.8%
B.9.2%
C.10.4%
D.11.2%
A.该股票的期望收益率是15%
B.该股票的期望收益率是24%
C.该股票的股利是0.3元
D.股票的资本成本是15.3%
E.留存收益的资本成本是15%
A.R+7.5%
B.R+15%
C.R+22.5%
D.R+25%
某股票的β系数为1.5,市场无风险利率为6%,市场组合的预期收益率为14%,则该股票的预期收益率为 ()
A.8%
B.9%
C.18%
D.12%
A.9%
B.7%
C.10%
D.3%