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The graph of the relationship between expected return and beta in the CAPM context is called the A. CML B. CAL C. SML D. SCL. 21. Research has revealed that regardless of what the current estimate of a firm's beta is, beta will tend to move closer to over time. A. 1 B. 0 22. Consider the multifactor APT with two factors. Portfolio A has a beta of.5 on factor 1 and a beta of 1.25 on factor 2. The risk premiums on the factor 1 and 2 portfolios are 1% and 7%, respectively. The risk-free rate of return is 7%. The expected return on portfolio A is if no arbitrage opportunities exist. A. 13.5% B. 15 C. 16.25% D. 23

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