The expected return on the market portfolio is 15 the


The expected return on the market portfolio is 15%. The standard deviation of return on the market portfolio is 12%. Beta of stock A is 1.2 and the standard deviation of return on stock A is 18%. What could be the expected return of stock A?

a) 15% (b) 11% (c) 19% (d) Not enough information is provided

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Financial Management: The expected return on the market portfolio is 15 the
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