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Excel Online Structured Activity:CAPM, portfolio risk, and return. MINDTAP Q Search this course vity. CAPM. portfolio risk, and return ULR ERPELU REMER De Senga VVN

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MINDTAP Q Search this course vity. CAPM. portfolio risk, and return ULR ERPELU REMER De Senga VVN 15. A B c 8.86% 10.78 13.10 15 15 0.7 1.1 1.6 Fund P has one-third of its funds invested in each of the three stocks. The risk-free rate is 5.59, and the market is in equilibrium (That is required returns equal expected returns.) The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the questions below Open spreadsheet What is the market rik premium (H) Round your answer to two decimal places b. What is the beta of Pond P Do not rounid intermediate calculations. Round your answer to two decimal places What is the required return of Fund do not round intermediate calculations, Round your answer to two decimal places d. Would you expect the standard deviation of Fund P to be less than 15%, equal to 15, or greater than 1547 I less than 15 11 nrater than 15

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