"in february 2017 the risk-free rate was 4.15 percent, the market risk premium was 8 percent, and the beta for twitter stock was 1.72. what is the expected return that was consistent with the systematic risk associated with the returns on twitter stock? (round answer to 2 decimal places, e. g. 17.54%.)"
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Category: science |
Author: Giiwedin Frigyes
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