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The expected return on the market portfolio is 8.8%. The risk-free rate is 4.3%. What is the required return for a stock with a beta
The expected return on the market portfolio is 8.8%. The risk-free rate is 4.3%. What is the required return for a stock with a beta of 1.10?
7.9% | |
8.0% | |
8.1% | |
8.2% | |
8.3% | |
8.4% | |
8.5% | |
8.6% | |
8.7% | |
8.8% | |
8.9% | |
9.0% | |
9.1% | |
9.2% | |
9.3% | |
9.4% | |
9.5% | |
9.6% | |
9.7% | |
9.8% | |
9.9% | |
10.0% |
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