A particular stock has a beta of 12 and an expected return


Question: A particular stock has a beta of 1.2 and an expected return of 10.2%. The expected risk premium on the market portfolio is 6%. What is the expected return on the market portfolio? The response must be typed, single spaced, must be in times new roman font (size 12) and must follow the APA format.

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Finance Basics: A particular stock has a beta of 12 and an expected return
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