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The expected return for the market next period is 6.6% and the risk-free rate is 2%. Stock Z has a beta of 1 and an

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The expected return for the market next period is 6.6% and the risk-free rate is 2%. Stock Z has a beta of 1 and an expected return of 11.1%. What is the reward-to-risk ratio for the market portfolio and Stock Z. Market's reward-to-risk ratio ( 3 decimals): Stock Z's reward-to-risk ratio (3 decimals)

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