Calculation Of Company Stock’s CAPM
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Question
A particular stock has an expected return of 11%. If the expected risk premium on the market portfolio is 8%, and the risk-free rate is 5%, what is the stock’s CAPM beta?
A. 1.375
B. 0.750
C. 0.846
D. 0.462
Summary
The question belongs to Finance and it is about calculation of company stock’s CAPM.
Total Word Count 20
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