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    Corporate Finance Study Set 11
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    Exam 10: Risk and Return: the Capital Asset Pricing Model
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    The Linear Relation Between an Asset's Expected Return and Its
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The Linear Relation Between an Asset's Expected Return and Its

Question 10

Question 10

Multiple Choice

The linear relation between an asset's expected return and its beta coefficient is the:


A) reward-to-risk ratio.
B) portfolio weight.
C) portfolio risk.
D) security market line.
E) market risk premium.

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