Question: Ising the CAPM, calculate the expected return for Stock's A, B, and C. Which stocks would ou recommend purchasing T- Market Port Exp. Return Variance

T- Market Port Exp. Return Variance Covariance with Mkt Portfolio Stock .19

Ising the CAPM, calculate the expected return for Stock's A, B, and C. Which stocks would ou recommend purchasing

T- Market Port Exp. Return Variance Covariance with Mkt Portfolio Stock .19 .0200 0.14 Stock .13 .1196 .065 Stock c .09 .0205 .0013 Bills .05 .oooo .oooo .15 .0064 0.07 Using the CAPM, calculate the expected return for Stock's A, B, and C. Which stocks would you recommend purchasing?

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