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1. of security B is A multiple-choice question with one possible answer. (Required) 0.625 1 1.25 0 0.8 1.6 2. Market risk premium is A

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1. of security B is

A multiple-choice question with one possible answer.(Required)

  1. 0.625
  2. 1
  3. 1.25
  4. 0
  5. 0.8
  6. 1.6

2. Market risk premium is

A multiple-choice question with one possible answer.(Required)

  1. 5%
  2. 8%
  3. 11%
  4. 12%
  5. 3%
  6. 10%

3. Risk premium of security B is

A multiple-choice question with one possible answer.(Required)

  1. 8%
  2. 3%
  3. 7%
  4. 5%
  5. 6%
  6. 4%

4. The expected return of security B is

A multiple-choice question with one possible answer.(Required)

  1. 11%
  2. 8%
  3. 7%
  4. 9%
  5. 10%
  6. 12%
Manaba In-class test 1 The covariance between security B and market portfolio is 0.004 The expected return of market portfolio is 8%, the variance of market portfolio is 0.005, Risk-free rate is 3% . Please calculate the expected return for security B

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