资本资产定价模型的中文解释
一种跟踪股票风险与预期收益之间关系的模型。该模型假定风险资产的收益率等于无风险资产的收益率加上风险溢价,而风险溢价等于股票的β值乘以市场整体收益率与无风险资产收益率之差。
CAPM的英文解释
Capital Asset Pricing Model. A model that tracks the
relationship between risk and expected return. It stipulates that the return on a risky asset is equal to the risk-free rate plus a risk premium. The risk
premium is the stock's beta multiplied by the difference between the market rate of return and the risk-free rate.