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What is Investment Risk Analysis and Diversification about?
This document summarizes the key points from Chapter 8 of an investment analysis textbook. It discusses how to calculate the cost of equity and weighted average cost of capital for different companies and divisions based on their levered betas, debt-to-equity ratios, and the relevant risk-free rate and market risk premium. For each new project or acquisition, the appropriate industry betas and capital structure must be used to most accurately estimate the required return.
- Author
- Arunkumar Ld
- Language
- EN