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Assume that a company has a beta coefficient of 1.2, that the risk-free rate (the yield on T-bonds) is 7 percent,

Assume that a company has a beta coefficient of 1.2, that the risk-free rate (the yield on T-bonds) is 7 percent,

and that the market risk premium is 5 percent. What is the required rate of return on the firm’s stock?

(Short essay, no word limit, only a paragraph or two needed)

 
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