What must be the beta of a portfolio with E(r p ) = 18%, if r 1
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What must be the beta of a portfolio with E(rp) = 18%, if r1 = 6% and E(rM) = 14%?
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Related Book For
Investments
ISBN: 9781259271939
9th Canadian Edition
Authors: Zvi Bodie, Alex Kane, Alan Marcus, Lorne Switzer, Maureen Stapleton, Dana Boyko, Christine Panasian
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