Stocks expected rate of return using the capm


Problem:

The following table shows betas for several companies. Calculate each stock's expected rate of return using the CAPM. Assume the risk-free rate of interest is 5%. Use a 9% risk premium for the market portfolio.

Company Beta
Cisco 2.03
CitiGroup 1.36
Merck .40
Disney .84

Please show all work.

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Finance Basics: Stocks expected rate of return using the capm
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