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duppon the risk tree retum is 3.8% and the market portfolio has an expected totum of 10 9% and a volality of 15.6% Merck &

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duppon the risk tree retum is 3.8% and the market portfolio has an expected totum of 10 9% and a volality of 15.6% Merck & Co. (Tier MRK) stock ha a 20.5%voltary and correlation with the market of 0.050. What is Morck's beta with respect to the market? . Under the CAPM sumptions, what is its expected rotum? CD What is Merck' beta with respect to the market? Marek bete with respect to the market is (Round to three decimal places) Cinar all

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