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The risk-free rate is 4.15 percent, the correlation coefficient is.4278, and the standard deviation on a stock is 31.25%, what is the expected risk premium

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The risk-free rate is 4.15 percent, the correlation coefficient is.4278, and the standard deviation on a stock is 31.25%, what is the expected risk premium on this stock given the following information? State of Economy Boom Normal Probability of State Rate of Return if State Occurs of Economy .35 .65 14 08

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