Question: What should the expected return (k) be if the risk free is 3%, = 1.06, market return 7%? Use the CAPM. a) 9.42% b) 7.24%
What should the expected return (k) be if the risk free is 3%, = 1.06, market return 7%? Use the CAPM. a) 9.42% b) 7.24% c) 3% d) 6%
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