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Calculation of Portfolio Management - CAPM : A stock has an expected return of 12.25 percent. The beta of the stock is 1.15 and the risk-free rate is 5 percent. What is the market risk premium?
Sub: Accounts Topic: Portfolio Management Question: Calculation of Portfolio Management - CAPM ClassOf1 provides expert guidance to College, Graduate, and High school students on homework and assignment problems in Math, Sciences, Finance, Marketing, Statistics, Economics, Engineering, and many
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