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1. How should an analyst determine the risk-free rate that is to be used in any particular valuation assignment? Should length of the forecast period affect the selection of a rate?

2. There are two types of risk. What are these two types of risk and should investors be concerned about them? By what methods are these risks measured by analysts?

Financial Management, Finance

  • Category:- Financial Management
  • Reference No.:- M92786136

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