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The risk free rate is 5%. The expected return of the market portfolio is 10% and the volatility of the market portfolios return is 12%.

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The risk free rate is 5%. The expected return of the market portfolio is 10% and the volatility of the market portfolios return is 12%. The volatility of IBM stock return is 8%. According to the Capital Asset Pricing Model, the expected return of IBM is. 8% Not enough information is provided. 11.67% 10%

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