What is the expected market return
Problem
For this question, the CAPM holds in the economy. If the average risk aversion in the market is 3.9 and the risk-free rate is 6%, what is the expected market return, if the standard deviation of the market is 24%?
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If the average risk aversion in the market is 3.9 and risk-free rate is 6%, what is the expected market return, if the standard deviation of market is 24%?
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