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CIM stock's correlation with the market return is estimated to be 0.55. The stock standard deviation is 0.35 and the market standard deviation is 0.25.
CIM stock's correlation with the market return is estimated to be 0.55. The stock standard deviation is 0.35 and the market standard deviation is 0.25. The risk-free rate is 3% and the market risk premium is 10%. Blank #1: What is the B of CIM stock? Blank #2: What is the expected return (in percentage) on CIM stock using the CAPM? Instruction: Answers should be rounded to two decimal places. Do not include any symbol Blank # 1 Blank # 2
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