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Aaron has a column chart that displays data in the range B3:D7.When he clicks the chart, then drags the sizing handle around the data to include row 8, he is adding a data table to the chart.
Required Return
The minimum expected return an investor demands for investing in a particular asset, considering the risk involved.
Correlation Coefficients
Statistical measures that indicate the extent to which two variables fluctuate together.
Risk-Free Rate
The rate of return on an investment with no risk of financial loss, often represented by the yield on government securities.
Market Risk Premium
The additional return an investor expects to receive from a market portfolio over a risk-free rate due to the inherent risks.
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