QA. What is beta of an asset for each scenario:
1) S&P return = 8%, ?m = 5, ?x = 5, market risk premium =4%, ?xm = 0.67
2) Rx = 10%, market risk premium = 4%, t-bill rate = 4%
3) Risk free rate = 5%, ?xm = 32, ?m = 6, ?x = 4
4) ?m = 6, ?x = 4, Rx = 10%, NIKKEI return = 12%, risk free rate= 2%
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