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Stock A^(') s beta is 2.2 . If the risk free rate is 0.0% and the market risk premium is 10.7% , what is stock

Stock

A^(')

s beta is 2.2 . If the risk free rate is

0.0%

and the market risk premium is

10.7%

, what is stock A's expected return based on CAPM (only report the percentage with two decimal places. Do not include "%" in your answer)?

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Stock A's beta is 2.2 . If the risk free rate is 0.0% and the market risk premium is 10.7%, what is stock A's expected return based on CAPM (only report the percentage with two decimal places. Do not include "\%" in your answer)

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