If the risk - free return (Rf) is 6%, Beta value (β) is 1.5 and market rate of return (Km) is 10%, the expected rate of return would be
1. 15%
2. 12%
3. 17.5%
4. 16%
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If the risk - free return (Rf) is 6%, Beta value (β) is 1.5 and market rate of return (Km) is 10%, the expected rate of return would be
1. 15%
2. 12%
3. 17.5%
4. 16%