dinero5459 dinero5459 09-01-2024 Business contestada The expected market return is 12%, and the risk-free rate of return is 3%. Using the CAPM (SML), what is the expected return for a portfolio with a standard deviation of 18% and a beta of 1.3? a) 14.4% b) 15.6% c) 16.2% d) 17.1%