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Q: In the Capital Asset Pricing Model, the market risk premium is estimated over a long period of time because: (Points : 1) more data is always better than less. a longer holding period gives a more
reliable estimate because it is, in effect, a larger sample size. almost all investors hold stocks for many years, so it matches their investment horizon. historical returns are the best indicators of future returns.
A: My objective in writing this survey is to provide an overview of the work that has been done in an important area of financial markets research explaining the behavior of common stock returns. [ I have tried to make this survey as complete as possible, without getting bogged down in a lot of technical details. Since this area of research has been very active for the past several years,
describing all of the work that has been done is not feasible. I have tried to include the most important research in my discussion, but in doing so, I have left out some very good papers. What follows is my attempt to adequately discuss all the main ideas in as concise a manner as possible. ]
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User: In the Capital Asset Pricing Model, the market risk premium is estimated over a long period of time because: (Points : 1) more data is always better than less. a longer holding period gives a more reliable estimate because it is, in effect, a larger sample size. almost all investors hold stocks for many years, so it matches their investment horizon. historical returns are the best indicators of future returns.

Weegy: My objective in writing this survey is to provide an overview of the work that has been done in an important area of financial markets research explaining the behavior of common stock returns. [ I have tried to make this survey as complete as possible, without getting bogged down in a lot of technical details. Since this area of research has been very active for the past several years, describing all of the work that has been done is not feasible. I have tried to include the most important research in my discussion, but in doing so, I have left out some very good papers. What follows is my attempt to adequately discuss all the main ideas in as concise a manner as possible. ]
nlewis123|Points 180|

User: In the Capital Asset Pricing Model, the market risk premium is best approximated by: (Points : 1) the most recent one-year return on the S&P 500 Index (or another market index). the long-term historic return on a stock market index such as the S&P 500 (or another market index). the long-term average spread of the S&P 500 (or another market index) over the yield of long-term government bonds. the return of the S&P 500 (or another market index) over the current yield of long-term government bonds

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Asked 10/13/2013 2:30:58 PM
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