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nancial Analysis and Budgeting 01 (BMHM Grou _FIN 1013_01 Week 15 / Test #3 A company has a beta of 1.3. The market risk premium

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nancial Analysis and Budgeting 01 (BMHM Grou _FIN 1013_01 Week 15 / Test #3 A company has a beta of 1.3. The market risk premium is 9.8%, and the equity risk- premium is 6.4%. What is the expected return of equity according to the capital asset pricing model? (Two decimal places.) Answer: Check Next pag

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