Using the capital asset pricing model and following information, …


Using the capital asset pricing model and following information,  Standard deviation of security 0.15 Standard deviation of market portfolio 0.10 Expected return of market portfolio 0.08 Correlation between possible returns for the security & the market portfolio 0.70 Expected risk free rate 0.03  the expected return for the security is:Select one:a. 8.25%b. 1.05%c. 3.50%d. 5.25%

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