Areas covered and Advanced tools

SBF 120

The SBF 120 is one of the benchmark indexes of the Paris stock exchange. It is composed of the CAC 40, the CAC Next 20 and the CAC Mid 60 (the 60 largest market caps of the Euronext subfunds A and B). It is representative of the market as a whole and revised quarterly by the Euronext Scientific Board.

Our market data

Equity Risk Premium

The market risk premium reflects the additional return required by investors in excess of the risk-free rate. The ERP is essential for the calculation of discount rates and derived from the CAPM. It stems from the IRR which equalizes the discounted present value of forecast cash flow and the current share price.
Details on the concepts and methodology, along with some examples and a glossary, are provided in the site's methodology section, particularly methodological notes 1, 2, 3 and 5.

Other areas covered and advanced tools


>