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Measurement of Risk and Return in Investing.Complete the following problems:Problem 6-1: Rate of return and standard deviation
Problem 6-2: Holding-Period Return
Problem 6-3: Holding-Period Gain SAR and Return
Problem 6-4: Capital Asset Pricing Model
Problem 6-5: Security Market Line
Problem 6-6: Required Rate of Return CAPM
Problem 6-7: Expected Return, Standard Deviation
You can access the problem details (Attached)Complete the problems in an Excel spreadsheet. Be sure to show all your work on the Excel spreadsheet to receive credit; no hard keys.

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