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Ramsey companys stock has an expected return of 13. 5% and a beta of 1.4. The variance of the return of this stock is 0.18.
Ramsey companys stock has an expected return of 13. 5% and a beta of 1.4. The variance of the return of this stock is 0.18. The risk-free rate is 4.1%. The reward-to-risk ratio for this stock is:
9.4 percent
6.3 percent
6.7% percent
7.2 percent
5.2 percent
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