[Step-by-Step] The expected return on the market is 13%. The expected risk free rate is 4%. The standard deviation of the market is 20%. Security A has


Question: The expected return on the market is 13%.  The expected risk free rate is 4%.  The standard deviation of the market is 20%.  Security A has a covariance with the market of 0.048.  What is the beta of Security A?  What is the expected return of Security A?

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