How do investors management risk-returns on their portfolios

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Reference no: EM131932020

1. Determine the cost of long-term debt, and explain why the after-tax cost of debt is the relevant cost of debt. What effect has a long-term debt of $1,000,00 ,00 on a Financial Statement of a company has on a Prospective investors?

2. Name the four major factors that effect the dividend policy of a company.

3. How do investors management Risk & Returns on their portfolios? What are some common Risk that Financial Institutions face? How do they control these Risk?

Reference no: EM131932020

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