The difference between the return on the market portfolio of assets and the risk-free rate of return represents the premium the investor must receive for taking the average amount of risk associated with holding the market portfolio of assets

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TRUE

Business

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In order to test the significance of a multiple regression model involving 5 independent variables and 50 observations, the numerator and denominator degrees of freedom for the critical value of F are 5 and 45 respectively

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Business

Secondary data must be published

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Business