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8. In a single-factor market, the SML relationship of both the CAPM and the APT states that the risk premium on any security is proportional

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8. In a single-factor market, the SML relationship of both the CAPM and the APT states that the risk premium on any security is proportional to beta, or equivalently, that the security's expected return must be a linear function of beta. Suppose this is not the case, specifically, that expected return rises more than proportionately with beta as in the following figure. (LO 7-1) FIGURE 7.5 EN) B 4. How could you construct a positive-alpha security in the context of the CAPM or an arbitrage portfolio in the context of the APT? b. Could this figure be an accurate depiction of the mean-beta relationship in market equilibrium? Hint: Consider the return on a combination of portfolios A and B con- structed to match the beta of portfolio C. c. Some researchers have examined the relationship between average returns on diversi- fied portfolios and the Band of those portfolios. What should they have discovered about the effect of pon portfolio return

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