The return on the market portfolio is currently 12%. Mobile Phone Corp

The return on the market portfolio is currently 12%. Mobile Phone Corporation stockholders
require a rate of return of 30% and the stock has a beta of 3.2. According to CAPM, determine the
risk-free rate.

A) 4.64% B) 6.50% C) 3.82% D) 9.80%

 

 

ANSWER

C

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