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Based on this financial info where a company's Beta Year = 2008, the Company's commons stock = 0.85, the Risk-Free Rate of Return = 5%, and the Market Risk Premium = 6%. Use the dividend growth model to calculate the Company's Common Stock in 2008. Stock 1 = 1.5, Stock 2 = 0.27, Stock 3 = 1.1, Stock 4 = 2.15, Stock 5 = -0.5.

Which stock is undervalued, overvalued, or fully valued? Why?

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