Question: 2. Stock Expected return (%) Beta Standard deviation (%) A 4.2 13 1.1 B 4.8 16 1.4 3 8 0.5 Consider the above information for
2. Stock Expected return (%) Beta Standard deviation (%) A 4.2 13 1.1 B 4.8 16 1.4 3 8 0.5 Consider the above information for Stocks A, B, and C. Based on CAPM model, what are risk-free rate (Rf) and market return (Rm)? (2 points)
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