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Suppose the expected return on the market portfolio is estimated at 8% and the risk free rate is 1%. According to the CAPM, what percentage

Suppose the expected return on the market portfolio is estimated at 8% and the risk free rate is 1%. According to the CAPM, what percentage of the risk premium on a portfolio invested 50% n a stock with a beta of 1.5 and 50% in the risk free asset? A. 13.10%. B. 4%. C. 15%. D. 10%.

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