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True of False
1. In CAPM, risk is defined as systematic risk
2. SML gives relation bwt expected return and cov with market (or beta). CML gives relation bwt expected return and total risk.
3. Investor have homogeneous expectation in CAPM
4. SML says risk premium=security risk*price of risk
5. If cor is negative, Beta will range from 0 to -1
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