stoch XYZ has an expected return of 12% and risk of Beta=1. stock ABC has expected return of 13% and Beta= 1.5. the market's expected return is 11% and Rf = 5%. according to the CAPM, calculate the expected return of each stock. also draw the SML curve. please show the calculation using excel

Intermediate Financial Management (MindTap Course List)
13th Edition
ISBN:9781337395083
Author:Eugene F. Brigham, Phillip R. Daves
Publisher:Eugene F. Brigham, Phillip R. Daves
Chapter2: Risk And Return: Part I
Section: Chapter Questions
Problem 4P: An analyst has modeled the stock of a company using the Fama-French three-factor model. The market...
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stoch XYZ has an expected return of 12% and risk of Beta=1. stock ABC has expected return of 13% and Beta= 1.5. the market's expected return is 11% and Rf = 5%. according to the CAPM, calculate the expected return of each stock. also draw the SML curve. please show the calculation using excel
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