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The risk-free return is 5.9 t and the market rirk premium is 12.74. What is the expected return for the following portfolio? (State your answer

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The risk-free return is 5.9 t and the market rirk premium is 12.74. What is the expected return for the following portfolio? (State your answer in percent with tro decinal. places.) stock Beta Investment AAX3.25500,000 BBB 2.2 5900,000 ccc1.932,200,000 DDD 0.9$1,300,000 \begin{tabular}{|l|} \hline 29.05% \\ \hline 23.15% \\ \hline 18.29% \\ \hline 12.39% \\ \hline 18.22% \\ \hline \end{tabular} You are considering buying a stock with a beta of 3.36. If the risk-free rate of return is 6.0%, and the expected return for the market is 13.0%, what should the expected rate of return be for this stock? \begin{tabular}{|l|} \hline 24.29% \\ \hline 49.68% \\ \hline 65.53% \\ \hline 29.52% \\ \hline 36.23% \\ \hline \end{tabular}

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