security a has an expected rate of return of 12
Security A has an expected rate of return of 12% and a beta of 1.10. The market expected rate of return is 8% and the risk-free rate is 5%. The alpha of the stock is __________.
A) -1.7%
B) 3.7%
C) 5.5%
D) 8.7%
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if the only data available is that the beta of a stock is 14 what is the likely return on an investment in this stock if the market falls 5a -6b -5c
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the expected return on the market portfolio is 15 the risk-free rate is 8 the expected return on sda corp common stock is 16 the beta of sda corp
asset a has an expected return of 15 and a sharpe ratio of 4nbsp asset b has an expected return of 20 and a sharpe ratio of 3nbsp a risk-averse
security a has an expected rate of return of 12 and a beta of 110nbsp the market expected rate of return is 8 and the risk-free rate is 5nbsp the
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