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Risk Free Rate

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Written by:

Estella D


Date added:

July 29, 2014








No of pages / words:

10 / 2532


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In practice, however, there are two major issue that we have to consider when estimating risk free rates. The first relates to the definition of a risk free security, and the characteristics such a security needs to possess. The second applies when there are no risk free assets, and examines how best to estimate a risk free rate under these conditions...
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We attempt to deal with both these issues in this paper. The Risk free Rate Most risk and return models in finance start off with an asset that is defined as risk free, and use the expected return on that asset as the risk free rate. The expected returns on risky investments are then measured relative to the risk free rate, with the risk creating an expected risk premium that is added on to the risk free rate...
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