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Topic: Social Issues
Number of pages / Number of words: 4 / 1008
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Since Marriott is a US stock and most investors are assumed American, they will require a risk premium consistent with US market performance. To calculate required future returns using CAPM we use a long-term average market risk premium. The average market risk premium of the S&P500 over the last 60 years is 7...


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The average market risk premium of the S&P500 over the last 60 years is 7.43% according to Exhibit 5.

The best estimate of long-term risk premiums is reflected in an average risk premium over a long period of time rather than the premiums of the past few years.

b) Marriott's unsecured debt is A-rated as a high quality corporation Marriott expects to pay a small spread above the current government bond rate...


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Australian Stock Market Performance DISCUSSION OF THE RISK PREMIUM Fannie Mae ? Stock Performance Analysis Investment Risk in Stock Market Securities Mariott corporation case study Marriott Case Analysis Marriott Case Notes Marriott Case Study Mutual Fund Cash Flows And Stock Market Performance Stock Market Analyzing the 10 year Stock Performance of P&G and PepsiCo Marriott case Study Of Relationship Between Foreign Exchange Market &Amp;Amp; Stock Market Too much of British company law frustrates, inhibits, restricts and undermines. It is over-cautious, placing too high a premium on regulation and avoidance of risk. The company remains the choice of corporate vehicle for over a million businesses,... Mariott Corp case

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