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by: Itzel Zelaya

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# Exam 4 301

Itzel Zelaya
Mason
GPA 2.9
Intro to Business Finance

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## About this Document

Here is a Study Guide that will gurantee you a passing grade!
COURSE
Intro to Business Finance
PROF.
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Study Guide
PAGES
0
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KARMA
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## Popular in Finance

This 0 page Study Guide was uploaded by Itzel Zelaya on Friday December 4, 2015. The Study Guide belongs to 301 at George Mason University taught by in Summer 2015. Since its upload, it has received 29 views. For similar materials see Intro to Business Finance in Finance at George Mason University.

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Date Created: 12/04/15
Finance 301 Study Guide Exam 4 The main formulas to know for this exam are the following below 121 r 411me 4 Jm a 12 r awnnu MJvm a HiMmLAmJEm u yendin value 139 startin value wim no interim oi vvith reinvestment of anv interim CFs iieal rate 2 gilt nominal rate iteminal rate 2 1 i real rate 39X39 ixPin39 ation ratej i 1 E the re 1 lat or normail return exi eeted return diseonnt rate ete usetl throughout the course in ation rate 2 flitnominal rate Iireal rate 1 Ii in ation rate I Variance of R based on past returns 2 sample variance intuit 1 Ry memoir run1r R2 manure tun1r Rt meantRlP tumn Expeeted return based on possibie future onteornes ER pH Xi RED 132 112 193 RJESJ E w return for nancial asset like a stoek or bond Aetuai return 3 EEK l U 2 expected return unexpected return HR 4 svsternatie portion of nnexpeeteti return l unsvstematie portion o f unexpeeted return Totai risk 2 svvsternatie risk 39539 nnsystematie risk i for a portfolio 3 BF 3 1131 x232 su n For Market Premium an adjusted formula is ERRf beta X MP For Test bank problems are all of Risk and Return Do the test bank in order rst at least two times before trying this order 2 14 22 31 41 51 61 1 12 21 32 42 52 62 3 13 23 33 43 53 63 5 11 24 34 44 54 64 4 15 25 35 45 55 65 6 16 26 36 46 56 66 7 17 27 37 47 57 67 8 18 28 38 48 58 9 19 29 39 49 59 10 20 30 40 50 and 60 Finance 301 Study Guide Exam 4 The main formulas to know for this exam are the following below 121 r 411me 4 Jm a 12 r awnnu MJvm a HiMmLAmJEm u yendin value 139 startin value wim no interim oi vvith reinvestment of anv interim CFs iieal rate 2 gilt nominal rate iteminal rate 2 1 i real rate 39X39 ixPin39 ation ratej i 1 E the re 1 lat or normail return exi eeted return diseonnt rate ete usetl throughout the course in ation rate 2 flitnominal rate Iireal rate 1 Ii in ation rate I Variance of R based on past returns 2 sample variance intuit 1 Ry memoir run1r R2 manure tun1r Rt meantRlP tumn Expeeted return based on possibie future onteornes ER pH Xi RED 132 112 193 RJESJ E w return for nancial asset like a stoek or bond Aetuai return 3 EEK l U 2 expected return unexpected return HR 4 svsternatie portion of nnexpeeteti return l unsvstematie portion o f unexpeeted return Totai risk 2 svvsternatie risk 39539 nnsystematie risk i for a portfolio 3 BF 3 1131 x232 su n For Market Premium an adjusted formula is ERRf beta X MP For Test bank problems are all of Risk and Return Do the test bank in order rst at least two times before trying this order 2 14 22 31 41 51 61 1 12 21 32 42 52 62 3 13 23 33 43 53 63 5 11 24 34 44 54 64 4 15 25 35 45 55 65 6 16 26 36 46 56 66 7 17 27 37 47 57 67 8 18 28 38 48 58 9 19 29 39 49 59 10 20 30 40 50 and 60

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