Identify what expected return of stock should be for each

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Identify what the expected return of stock should be for each of the following scenarios. Assume that risk free is 8% and expected return of market is 10%:

- Beta = 1

- Beta = 0

- Beta = -1

- Correlation = 1

- Correlation = 0

- Correlation = -1

Reference no: EM13805636

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