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Given are the following two stocks A and B : If you believe the expected market rate of return is 0.09 , and the risk-free

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Given are the following two stocks A and B : If you believe the expected market rate of return is 0.09 , and the risk-free rate is 0.05 , which security would be considerad the better buy, and why? Multiple Choice A because it offers an expected obnormal retum of 1.2%. B bercouse it offers an expected abnormal return of 1.8% A because if offers an expected abnormal retum of 2.2% Multiple Choice A because it offers an expected abnormal return of 1.2% B because it offers an expected abnormat return of 18%. A becouse it offers an expected abnormal return of 2.2% B because it offers an expected return of 14%. 8 because it has a higher beta

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