Corer favor 4 pts A portfolio has 13.5% return last year. The risk-free rate is 4.5%....
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Corer favor 4 pts A portfolio has 13.5% return last year. The risk-free rate is 4.5%. If the market return is 11.3%, and the company has a beta of 1.15, what is the alpha? -1.03 0.53 -0.38 1.18 Corer favor 4 pts A portfolio has 13.5% return last year. The risk-free rate is 4.5%. If the market return is 11.3%, and the company has a beta of 1.15, what is the alpha? -1.03 0.53 -0.38 1.18
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