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T - Transcontinental stock return has a volatility of 1 4 % and a correlation with the market portfolio return of 0 . 7 0
TTranscontinental stock return has a volatility of and a correlation with the market portfolio return of The volatility of the market portfolio is the expected return on the market is and the riskfree rate of interest is The beta for TTranscontinental is and using this beta, the expected return is
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