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alireads alireads
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2 months ago
Stock Y has a standard deviation of 22% and a covariance with the market of 0.081. The expected return of the market is 14% with a standard deviation of 18%. The risk-free rate is 5.25%. What is the beta of Stock Y?

▸ 1.67

▸ 0.45

▸ 0.37

▸ 2.50
Textbook 
Corporate Finance

Corporate Finance


Edition: 5th
Author:
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latoya86latoya86
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2 months ago
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alireads Author
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2 months ago
Smart ... Thanks!
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This site is awesome
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You make an excellent tutor!
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