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UNR inc Market Stdev 30.00% 13.00% Correlation with market 0.6 1 Given Return on market portfolio (Rm)=10% and Rf=1%, a) Calculate UNR inc.'s required return.

UNR inc Market Stdev 30.00% 13.00% Correlation with market 0.6 1 Given Return on market portfolio (Rm)=10% and Rf=1%, a) Calculate UNR inc.'s required return. (CAPM model). b) Calculate UNR inc.'s stock risk premium.

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