Average return on portfolio with different asset groups

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1. How to calculate average return on a portfolio with different asset groups?

2. Rank the decision rules (Net Present Value, Payback Period, and Internal Rate of Return) from worst to best in terms of their overall usefulness in capital budgeting analysis.

3. Corporations that are heavily committed to investments in fixed assets that are expected to produce cash flow over many years generally favor long−term debt to the extent that they borrow?

Reference no: EM131935042

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