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Supare the risk free retuma 2. and the market portfolio has an expected return of 7,7%, and a volatility of 15.4%, Merck & Co. stock

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Supare the risk free retuma 2. and the market portfolio has an expected return of 7,7%, and a volatility of 15.4%, Merck & Co. stock has a 20.5vokutily and a correlation with the market of obes. Under the CAPM assumptions, Merck & Co is (Please write percentage as a number with two decimal place, no "sign.e.g.write "1234" as "12.34

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