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    Exam 7: Introduction to Risk and Return
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    The Annual Returns for Three Years for Stock B Were
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The Annual Returns for Three Years for Stock B Were

Question 78

Question 78

Multiple Choice

The annual returns for three years for stock B were 0 percent, 10 percent, and 26 percent. Annual returns for three years for the market portfolio were +6 percent, 18 percent, and 24 percent. Calculate the beta for the stock.


A) 0.75
B) 1.36
C) 1.00
D) 0.74

Correct Answer:

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