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Consider the single-index model. The alpha of a stock is 2%. The return on the market index is 10% and the risk-free rate of return

Consider the single-index model. The alpha of a stock is 2%. The return on the market index is 10% and the risk-free rate of return is 3%. The stock earns a return 14%, and there are no firm-specific events affecting the stock performance. The of the stock is Select one: 1.50 0.64 1.17 1.29 0.75

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