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Consider a stock with required return of 12.5%. If the market return is 5.61% and the risk-free rate is 0.11%, what is the stock's beta
Consider a stock with required return of 12.5%. If the market return is 5.61% and the risk-free rate is 0.11%, what is the stock's beta according to the capital asset pricing model? Round your answer to two decimal places, e.g., 1.23.
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