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The risk free rate of return is 3% and the expected return of the market is 10%. A share with a Beta of 1.2 and
The risk free rate of return is 3% and the expected return of the market is 10%. A share with a Beta of 1.2 and an actual return of 15% can be considered:
Question 19Select one:
a.
undervalued
b.
overvalued
c.
priced correctly
d.
none of the above
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