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This document provides instructions for an individual assignment in an Applied Portfolio & Fund Management course. Students are asked to calculate the required rate of return for companies using the Capital Asset Pricing Model based on data from a previous assignment. The submission should include the market rate of return, beta calculation, risk-free rate justification, and both hard and soft copies of the work and data by November 7th, 2013.

Author
Ruja Rana
Language
EN

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