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If the expected return on the market portfolio is estimated to be 15%, the risk-free rate of interest is 6%, and the beta of asset

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If the expected return on the market portfolio is estimated to be 15%, the risk-free rate of interest is 6%, and the beta of asset i is 0.50, what is the expected return on asset i using CAPM model? O 4.50% 10.50% O 3.00% O 7.50% 13.50%

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