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samualson samualson
wrote...
Posts: 2459
6 years ago
Marble Corp. has a beta of 2.5 and a standard deviation of returns of 20%. The return on the market portfolio is 15% and the risk-free rate is 4%. What is the risk premium on the market?
A) 5%
B) 6%
C)  9.00%
D) 11%
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wrote...
6 years ago
 D
 
samualson Author
wrote...
6 years ago
Thank you for helping me with my quiz
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