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0/6 pts Question 10 The risk free rate is 5%. The market portfolio has an expected return of 14% and a standard deviation of 20%.

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0/6 pts Question 10 The risk free rate is 5%. The market portfolio has an expected return of 14% and a standard deviation of 20%. The standard deviation of DAP Inc. is 24% and its correlation with the market is +0.50. Enter numbers only. Round to 3 decimals. The covariance between DAP Inc. and the market is The beta of DAP Inc. is 3.7 Beta reflects the risk of a security

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