A stock has a beta of 12 the risk free rate is 51 and


A stock has a beta of 1.2.   The risk free rate is 5.1% and market return is 13.6%.

A) What’s the market risk premium?

B) What's the expected return of the stock under CAPM?

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Financial Management: A stock has a beta of 12 the risk free rate is 51 and
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