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The risk-free rate is 9.46%. The market risk premium is 20.29%. The variance of the market portfolio is 10.74%. Using CAPM result #2, what is

The risk-free rate is 9.46%. The market risk premium is 20.29%. The variance of the market portfolio is 10.74%.

Using CAPM result #2, what is the expected return based on CAPM?

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