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Expected market portfolio risk premium for the next year is 9%, risk free rate is expected to be 3%, of company XYZ stock is 1.1.
Expected market portfolio risk premium for the next year is 9%, risk free rate is expected to be 3%, of company XYZ stock is 1.1. Expected return of company XYZ stock next year is:
9.0% | ||
12.1% | ||
12.9% | ||
9.6% |
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