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#7 and #9 per State Wha ject.Compute the Scient) Gotschalk, Inc's return and the S&P 500 return have a 0.50 correlation coefficient. me period of

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per State Wha ject.Compute the Scient) Gotschalk, Inc's return and the S&P 500 return have a 0.50 correlation coefficient. me period of time, Gotschalk's return had a standard deviation of 20%, while the S&P had a standard deviation of 15%. What is Gotschalk's beta coefficient? What is the beta Beta Coefficient) Gotschalk, Inc's re over the same period of time, Gotscha 500 return had a standard devia coefficient of the market? (Beta Coefficient) Motir Coefficient) Motin, Inc's return and the Dow Jones Industrial Average return have a 0.85 lation coefficient. Over the same period of time, Motin's return had a standard deviation of w while the DJIA return had a standard deviation of 10%. What is Motin's beta coefficient? What is the beta coefficient of the market? ICAPM) The risk-free rate of return is 3% and the stock's beta coefficient is 1.2. If the market risk premium is 8.2%, what is the required return of stock

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