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SAT, 29.11.2021 22:50 belindajolete

Suppose autodesk stock has a beta of , whereas costco stock has a beta of. If the risk-free interest rate is and the expected return of the market portfolio is , what is the expected return of a portfolio that consists of autodesk stock and costco stock, according to the capm?.

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Suppose autodesk stock has a beta of , whereas costco stock has a beta of. If the risk-free interest...

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