Asked by Anonymous
6. At present, suppose the risk-free rate is 10 percent and the expected return on the market portfolio is 15 percent. The expected returns for four stocks are listed together with their expected betas.
Stock Expected Return Beta
NIC 18% 1.3
EIC 14 0.8
UIC 16 1.1
NIBC 17 1.7
Stock Expected Return Beta
NIC 18% 1.3
EIC 14 0.8
UIC 16 1.1
NIBC 17 1.7
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