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- Briefly discuss the general relationship between risk and expected return from an equity and bond investors point of view. - Provide a brief explanation

- Briefly discuss the general relationship between risk and expected return from an equity and bond investors point of view.

- Provide a brief explanation of unsystematic risk and systematic risk illustrating one example for each of them. Outline under what circumstances is an investor likely to ignore unsystematic risk.

- The stock of TKY Plc has a beta () value estimated to be 0.10. What does this value suggest about TKY Plcs stock?

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