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Q13) The market risk premium for next period is 9.50% and the risk-free rate is 2.34% . Stock Z has a beta of 1.232 and

Q13) The market risk premium for next period is 9.50% and the risk-free rate is 2.34% . Stock Z has a beta of 1.232 and an expected return of 13.21%. Compute the following:
a) Market's reward-to-risk ratio : (0.75 points)
b) Stock Z's reward-to-risk ratio : (0.75 points)

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