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coefficients is between 0 and 1 . ) table [ [ Stock , Expected Return,Standard Deviation,Beta ] , [ A , 7 . 6

coefficients is between 0 and 1.)
\table[[Stock,Expected Return,Standard Deviation,Beta],[A,7.65%,16%,0.7],[B,10.35,16,1.3],[C,11.25,16,1.5]]
a. What is the market risk premium ((:rM-rRF}? Round your answer to one decimal place. %
b. What is the beta of Fund P? Do not round intermediate calculations. Round your answer to two decimal places.
c. What is the required return of Fund P? Do not round intermediate calculations. Round your answer to two decimal places. %
d. What would you expect the standard deviation of Fund P to be?
I. Less than 16%
II. Greater than 16%
III. Equal to 16%
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