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Assume stock A has a beta of 1.5. Further, assume the market risk premium is 14% and the risk free rate is 2%. Given this
Assume stock A has a beta of 1.5. Further, assume the market risk premium is 14% and the risk free rate is 2%. Given this information, what is the expected return (in percent)? 19.41% 0 20.00% 18.00% O 16.85% O 17.41% O24.06% O 21.52% 23.00%
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