Stock r has a beta of 25 stock s has a beta of 125 the
Stock R has a beta of 2.5, Stock S has a beta of 1.25, the expected rate of return on an average stock is 15%, and the risk-free rate is 7%. By how much does the required return on the riskier stock exceed that on the less risky stock?
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stock r has a beta of 25 stock s has a beta of 125 the expected rate of return on an average stock is 15 and the
suppose you had held a portfolio consisting of 50 of stock a and 50 of stock b what would have been the average return
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