What is the risk-free rate of return what is the market


Both assets B and C plot on the SML. Asset B has a beta of 1.3 and an expected return of 13.1%. Asset C has a beta of .50 and expected return of 7.50%. a. what is the risk-free rate of return? b. what is the market risk premium? c. draw the SML and write the equation for CAPM?

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Financial Management: What is the risk-free rate of return what is the market
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