Investments
Investments
11th Edition
ISBN: 9781259277177
Author: Zvi Bodie Professor, Alex Kane, Alan J. Marcus Professor
Publisher: McGraw-Hill Education
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Chapter 13, Problem 5PS
Summary Introduction

To calculate: The second pass SML regression is to be performed by relapsing the normal abundance profit of every portfolio for its beta.

Introduction:

The security market line (SML) is a line drawn on an outline that fills in as a graphical portrayal of the capital asset pricing model(CAPM), which shows various degrees of deliberate, or market, risk of different marketable protections plotted against the normal return of the whole market at a given point in time.

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