Calculation of beta of securities or portfolios
Enter the value and click Calculate. The result will be displayed.
B = (R - Rf) / (Rm - Rf)
R = expected rate of return
Rf = risk free rate
Rm = market expected return
b = stock beta index
Expected rate of return (R): 75%
Risk-free rate (Rf): 20%
Market expected return (Rm): 60%
Click "Calculate" to output data
Stock beta index (b): 1.37500
Stock beta: no units
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