Assume that expected market return is 13.4% and the volatility of the market return is 20%. A certain stock has a volati

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Assume that expected market return is 13.4% and the volatility of the market return is 20%. A certain stock has a volati

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Assume That Expected Market Return Is 13 4 And The Volatility Of The Market Return Is 20 A Certain Stock Has A Volati 1
Assume That Expected Market Return Is 13 4 And The Volatility Of The Market Return Is 20 A Certain Stock Has A Volati 1 (72.84 KiB) Viewed 34 times
Assume that expected market return is 13.4% and the volatility of the market return is 20%. A certain stock has a volatility of 43% and a correlation of 0.52 with the market. The risk-free rate is 1.4%. Use CAPM to determine the stock's expected return. 16.30% 14.82% O 14.08% 15.56% 13.33%
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