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Business, 17.03.2020 03:21 stonerbabyy

Suppose that borrowing is restricted so that the zero-beta version of the CAPM holds. The expected return on the market portfolio is 15%, and on the zero-beta portfolio it is 7%. What is the expected return on a portfolio with a beta of 0.7

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Suppose that borrowing is restricted so that the zero-beta version of the CAPM holds. The expected r...
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