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The? risk-free rate is 2.6% and the expected market return is 9.3%. A risky stock has a beta of 1.44. If CAPM? holds, what are the Treynor indexes of the market and the risky? stock?

1. The? market's Treynor Index is______%.?(Provide the answer in? % and round to one decimal? place.)

2.The? stock's Treynor Index is______?%.?(Provide the answer in? % and round to one decimal? place.)

Financial Management, Finance

  • Category:- Financial Management
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