MCQOPTIONS
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| 1. |
If risk free rate of return is 8%, Return on market portfolio is 12%, beta = 1.5, then the expected rate of return according to CAPM is equal to |
| A. | 10% |
| B. | 14% |
| C. | 18% |
| D. | 24% |
| Answer» C. 18% | |