savannahsharp3742 savannahsharp3742
  • 24-05-2023
  • Business
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Currently, the risk-free rate equals 5% and the expected return on the market portfolio equals 11%. An investment analyst provides you with the following information:
Stock Beta Expected Return
A 1.33 12%
B 0.70 10%
C 1.50 14%
D 0.66 9%
Indicate whether each stock is overpriced, underpriced, or correctly priced.

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