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14.56% QUESTION 1 Consider the CAPM. The risk free rate is 2%. The market portfolio has an expected return of 10%. Stock Z has a

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14.56% QUESTION 1 Consider the CAPM. The risk free rate is 2%. The market portfolio has an expected return of 10%. Stock Z has a beta which is less than 0. The expected retom of stock should be Greater than 10 greater than 2 but less than 10% Not esough information is provided less than 29 Click Save and Submitted suicide SWARA JCE

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