Answer:
A, B, and D.
Step-by-step explanation:
According to the scenario, computation of the given data are as follows:-
We will have to compare the WACC with the expected return, to find out that which set of project will maximize the shareholder’s wealth.
Particular Risk WACC(required return) (%) Expected Return (%) Select/Reject Reason
Project A High 12 15 Select WACC is less than expected return.
Project B Average 10 12 Select WACC is less than expected return.
Project C High 12 11 Reject WACC is more than expected return.
Project D Low 8 9 Select WACC is less than expected return.
Project E Low 8 6 Reject WACC is more than expected return.
According to the analysis, option C (project A,B and D) should be selected to maximize shareholder’s wealth.