Stock a has a beta of 5 and investors expect it to return 5

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Stock A has a beta of .5, and investors expect it to return 5%. Stock B has a beta of 1.5, and investors expect it to return 13%. Use the CAPM to find the expected rate of return and the market risk premium on the market.



  Expected rate of return %  
  Market risk premium %  

 

Reference no: EM13578509

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