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you manage a 36 million portfolio has a beta of 1.12 and in expected return of 10.7% per year. you intend to invest in an
you manage a 36 million portfolio has a beta of 1.12 and in expected return of 10.7% per year. you intend to invest in an additional 14 million in the portfolio so that the expected return increase is 12% per year. if the risk-free interest rate is 4.8 per year what is the annual market risk premium??
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