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    Exam 7: Risk,return,and the Capital Asset Pricing Model
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    A Particular Stock Has a Beta of 1
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A Particular Stock Has a Beta of 1

Question 59

Question 59

Multiple Choice

A particular stock has a beta of 1.4 and an expected return of 13%.If the expected risk premium on the market portfolio is 6%,what's the expected return on the market portfolio?


A) 10.6%
B) 4.6%
C) 8.4%
D) 9.3%

Correct Answer:

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