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pompa pompa
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7 years ago
The CAPM uses standard deviation to relate an asset's risk relative to the market to the asset's required return.
Textbook 
Principles of Managerial Finance

Principles of Managerial Finance


Edition: 14th
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donnabandonnaban
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7 years ago
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pompa Author
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7 years ago
Good timing, thanks!
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Yesterday
Thanks for your help!!
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2 hours ago
Correct Slight Smile TY
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