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Suppose the? risk-free return is 2.6% and the market portfolio has an expected return of 9.8% and a voatility of 16.2%. Merck? & Co.? (Ticker:

Suppose the? risk-free return is 2.6% and the market portfolio has an expected return of 9.8% and a voatility of 16.2%. Merck? & Co.? (Ticker: MRK) stock has a 18.8% volatility and a correla...

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