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FIN 415 Week 3 Team Assignment Risk Measurement Summary (UOP Course).pdf

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<strong>FIN</strong> <strong>415</strong> <strong>Week</strong> 3 <strong>Team</strong> <strong>Assignment</strong> <strong>Risk</strong> <strong>Measurement</strong> <strong>Summary</strong><br />

(<strong>UOP</strong> <strong>Course</strong>)<br />

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Resource: Foundations of Finance<br />

Prepare responses to the following questions in Foundations of Finance.<br />

Questions 6-10 a, 6-10 b, 6-10 c (Ch. 6)<br />

Prepare a 350- to 700-word summary in which you compare and contrast<br />

conclusions by utilizing expected return, standard deviation, and the<br />

capital asset pricing model.<br />

Make a recommendation to management about which technique is most<br />

appropriate from a risk measurement standpoint.<br />

Support your recommendations with calculations from the problems<br />

in Foundations of Finance.

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