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Questions 13-15 are based on the information that follows: You are given the following information on Stock A, Stock B and on the market portfolio.

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Questions 13-15 are based on the information that follows: You are given the following information on Stock A, Stock B and on the market portfolio. The return on the riskless asset is 5%. State of Economy RA Rg RM Pr. Good .38 25 .20 .50 Bad .12 .08 -14 .35 Crisis -.08 .04 -.03 .15 13. The mean return on Stock B is? (a) 22.00% (b) 30.47% (c) 12.00% (d) 15.9% (e) 19.78%

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