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3. The risk free rate is 2%, and the required return on the market is 8%, what is the required return on an asset with

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3. The risk free rate is 2%, and the required return on the market is 8%, what is the required return on an asset with a beta of 1.2? What is the reward/risk ratio? What is the required return on a portfolio consisting of 80% of the asset above and the rest in an asset with an average amount of systematic risk

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