menu-iconExamlexExamLexServices

Discover

Ask a Question
  1. All Topics
  2. Topic
    Business
  3. Study Set
    Fundamentals Of Corporate Finance Study Set 21
  4. Exam
    Exam 13: Return, Risk, and the Security Market Line
  5. Question
    Asset a Has an Expected Return of 22% and a Beta
Solved

Asset a Has an Expected Return of 22% and a Beta

Question 263

Question 263

Multiple Choice

Asset A has an expected return of 22% and a beta of 1.8. The expected market return is 14%. What is the risk-free rate?


A) 0.6%
B) 1.2%
C) 3.0%
D) 4.0%
E) 6.0%

Correct Answer:

verifed

Verified

Unlock this answer now
Get Access to more Verified Answers free of charge

Related Questions

Q258: If investors can freely trade assets in

Q259: No matter how much total risk an

Q260: The weights that are commonly used when

Q261: The CAPM shows that the expected return

Q262: Which of the following does NOT correctly

Q264: Which of the following would have the

Q265: What is the variance of a portfolio

Q266: If the economy booms, R&F, Inc. stock

Q267: What is the portfolio variance if 60%

Q268: Risk premium = Expected return - Risk-free

Examlex

ExamLex

About UsContact UsPerks CenterHomeschoolingTest Prep

Work With Us

Campus RepresentativeInfluencers

Links

FaqPricingChrome Extension

Download The App

Get App StoreGet Google Play

Policies

Privacy PolicyTerms of ServiceHonor CodeCommunity Guidelines

Scan To Download

qr-code

Copyright © (2025) ExamLex LLC.

Privacy PolicyTerms Of ServiceHonor CodeCommunity Guidelines