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The security market line approach depends on which three factors to estimate the expected return on a risky asset? i) Risk-free rate of return ii)

The security market line approach depends on which three factors to estimate the expected return on a risky asset?

i) Risk-free rate of return

ii) Marginal tax rate

iii) Market risk premium

iv) Systematic risk of the asset

A) i,ii,iii only

b) i, ii, and iv only

C) i, iii, and iv only

D). ii, iii and iv only

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