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    Exam 10: Arbitrage Pricing Theory and Multifactor Models of Risk and Return
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    <Sup> </Sup>In a Factor Model, the Return on a Stock
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In a Factor Model, the Return on a Stock

Question 29

Question 29

Multiple Choice

In a factor model, the return on a stock in a particular period will be related to


A) factor risk.
B) nonfactor risk.
C) standard deviation of returns.
D) factor risk and nonfactor risk.
E) None of the options are true.

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