Merck corporation stock has a beta 068 pfizer corporation


Suppose the risk rate is 5% and the market portfolio has an expected return of 12% and a standard deviation of 16. Merck corporation stock has a beta 0.68. Pfizer Corporation has a beta of 1.00. What is the Pfizer Corporation's expected Coefficient of Variation?

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Financial Management: Merck corporation stock has a beta 068 pfizer corporation
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