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Exam CWM_LEVEL_2 All Questions
Exam CWM_LEVEL_2 All Questions

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AAFM Chartered Wealth Manager CWM_LEVEL_2 Question # 189 Topic 22 Discussion

CWM_LEVEL_2 Exam Topic 22 Question 189 Discussion:
Question #: 189
Topic #: 22

Section B (2 Mark)

The risk-free return is 9 percent and the expected return on a market portfolio is 12 percent. If the required return on a stock is 14 percent, what is its beta?


A.

2.34


B.

1.67


C.

2.97


D.

1.39


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