9. The risk-free rate and the expected market rate of return are 0.056 and 0.125, respectively....
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9. The risk-free rate and the expected market rate of return are 0.056 and 0.125, respectively. According to the capital asset pricing model (CAPM), the expected rate of return on a security with a beta of 1.25 is equal to I A. 0.1225 B. 0.144. C. 0.153. D. 0.134 E. 0.117 9. The risk-free rate and the expected market rate of return are 0.056 and 0.125, respectively. According to the capital asset pricing model (CAPM), the expected rate of return on a security with a beta of 1.25 is equal to I A. 0.1225 B. 0.144. C. 0.153. D. 0.134 E. 0.117
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Investments
ISBN: 9781259271939
9th Canadian Edition
Authors: Zvi Bodie, Alex Kane, Alan Marcus, Lorne Switzer, Maureen Stapleton, Dana Boyko, Christine Panasian
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