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CAPM Expected Return Calculator — result sheet
Estimate an asset's required or expected return from a risk-free rate, beta, and market return using the capital asset pricing model.
Inputs used
Results
Visual chart
Breakdown
Calculation steps
Returned data table
Formula and methodology
Formula: Expected return = Rf + β(Rm − Rf).
CAPM connects an asset's systematic market exposure with a benchmark risk premium. This page shows the market risk premium separately, then applies the entered beta and adds the risk-free rate so visitors can inspect the model instead of receiving an unexplained percentage.
This result follows the calculator's declared inputs, precision, validation boundaries, and model limits.
Input contract
- Risk-free rate — %; minimum -100; maximum 1000
- Asset beta — beta; minimum -1000; maximum 1000
- Market return — %; minimum -100; maximum 1000
Worked example
| Input | Value |
|---|---|
| Risk-free rate | 3 |
| Asset beta | 1.2 |
| Market return | 12 |
The 9% market risk premium and beta of 1.2 produce a CAPM expected return of 13.8%.
Assumptions and limits
- The risk-free rate and market return refer to the same period and benchmark currency context.
- Beta is measured against the same market benchmark and is appropriate for the asset or portfolio being modeled.
- CAPM is a simplified estimation framework and does not forecast prices, guarantee returns, or account for every risk, fee, tax, or liquidity condition.
Calculator note
Source and methodology
Use the official WorldCalculate methodology policy for the source, formula, precision, and boundary standards behind this calculator.
Planning estimate, not financial, medical, legal, or professional advice. © WorldCalculate — reuse with attribution. Built and curated by Hassan ALRowaie.
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