Question: Suppose the risk - free return is ( 7 . 2 % ) and the market portfolio has an expected return of

Suppose the risk-free return is \(7.2\%\) and the market portfolio has an expected return of \(8.1\%\) and a standard deviation of \(16\%\). Johnson \& Johnson Corporation stock has a beta of 0.76. What is its expected return? The expected return is \%.(Round to two decimal places.)
Suppose the risk - free return is \ ( 7 . 2 \ % \

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