If a stock has a beta of 13 would its required rate of


If a stock has a beta of 1.3 would its required rate of return be higher or lower than the required return for the average stock on the market? Why? Would it be more or less risky than holding a fund that replicated the S&P 500 Index ? Why?

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Financial Management: If a stock has a beta of 13 would its required rate of
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