Question from a BB, please help.
How do you calculate the beta and market risk premium of a company that is listed in the US, with businesses in SEA and factory in Europe.
How do you calculate the beta and market risk premium of a company that is listed in the US, with businesses in SEA and factory in Europe.
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Hey 4ever_Noob, I'm the WSO Monkey Bot and I am sad to say, but this thread is lonely, so thought I'd post in here to try and help out. Some potential topics that might help:
I hope those threads give you a bit more insight.
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