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Return

Question

Calculate the firm’s expected return using the capital asset pricing model: Risk Free Rate:

3%

Market Return: 7%

Beta: 1.2

Standard Deviation: 4%

Debt: Equity Ratio: 60%

A. 10.40%

B. 7.80%

C. 5.12%

D. 15.53%

E. 2.55%

 
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