Investering og finansiering DEL III Flashcards

1
Q

Kapitalverdimodellen - E(Ri) ?

A

E(Ri) = Rf +Bi * [E(Rm) - Rf]

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2
Q

E (Ri) ?

A

Forventet avkastning på prosjekt i

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3
Q

Rf?

A

Risikofri rente

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4
Q

Bi (Beta i)

A

Betakoffisienten (systematisk risiki for prosjekt i)

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5
Q

E(Rm)

A

Forventet avkastning for markedsporteføljen

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6
Q

[E(Rm)-Rf]

A

Markedets risikopremie

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7
Q

Rt?

A

Gjennomsnittling kapitalkostnad

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8
Q

Re?

A

Egenkapitalkostnaden

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9
Q

E/E+G?

A

Egenkapitalandelen

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10
Q

G/E+G?

A

Gjeldsandelen

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11
Q

Rg?

A

Lånekostnaden

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12
Q

s?

A

Skattesatsen

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13
Q

Sigma A?

A

Standardavvik A

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14
Q

Sigma AB?

A

Kovarians mellom A og B

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15
Q

Høy korroleasjonskoeffisient = ?

A

Liten diversifiseringseffekt!

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16
Q

Lav korroleasjonskoeffisient = ?

A

Stor diversifiseringseffekt.

17
Q

Hva vil stor diversifiseringseffekt si?

A

Stor risikoreduksjon!