What is atps beta with the market

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Question - Assume the risk-free return is 5% and the market portfolio has an expected return of 12% and a standard deviation of 44%. ATP Oil and Gas has a standard deviation of 68% and a correlation with the market of 0.91. What is ATP's beta with the market? Under the CAPM assumptions, what is its expected return?

Reference no: EM133162812

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