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A stock has a beta of .85 and an expected return of 8.54%. If the risk-free rate is 1.5 percent, what is the market portfolio's

A stock has a beta of .85 and an expected return of 8.54%. If the risk-free rate is 1.5 percent, what is the market portfolio's reward-to-risk ratio?

8.28%

7.63%

7.04%

6.68%

9.74%

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