A stock has a beta of 15 the market currently has risk free


A stock has a beta of 1.5. The market currently has risk free rate of 4% and the expected return of 12%.

a) What is the current market risk premium?

B) What are the three factors under CAPM to determine a stock return?

C) What is the expected return on this stock?

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Financial Management: A stock has a beta of 15 the market currently has risk free
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