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Business, 12.10.2021 19:10 ethanmatthews2336

Stock D has a covariance with the market of 0.0225. The market portfolio has an expected return of 11.5% and a standard deviation of 15%. What is the expected return on stock D using the CAPM

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Stock D has a covariance with the market of 0.0225. The market portfolio has an expected return of 1...

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