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The risk - free rate is 1 . 4 1 % , a stock's adjusted systematic risk exposure is 0 . 8 , and the

The risk-free rate is 1.41%, a stock's adjusted systematic risk exposure is 0.8, and the market risk premium is 5.87%. If the expected return for this stock is 7.18%, then what is the estimated alpha according to the Capital Asset Pricing Model? State your answer as a percentage with two decimal places and not in decimal form (i.e,13.21, not 0.1321).
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