The linear relation between an assets expected return and
The linear relation between an assets expected return and its Beta coefficient is the:
A) reward to risk ratio B) portfilio weight C) portfilio risk D) security mkt line E) mkt to risk premium
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the linear relation between an assets expected return and its beta coefficient is thea reward to risk rationbspnbsp b
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which one is false about calculating expected portfilio returns and variancesnbspa u need to calculate the weight of
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