FIN 415 Week 3 Team Assignment Risk Measurement Summary
Resource: Foundations of Finance
Prepare responses to the following questions in Foundations of Finance.
Questions 6-10 a, 6-10 b, 6-10 c (Ch. 6)
Prepare a 350- to 700-word summary in which you compare and contrast conclusions by utilizing expected return, standard deviation, and the capital asset pricing model.
Make a recommendation to management about which technique is most appropriate from a risk measurement standpoint.
Support your recommendations with calculations from the problems in Foundations of Finance.