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Companion webpage-cum-blog for the Theory of Finance course at WIMWI. Mean Standard Deviation and the Equity Premium Puzzle. The CAPM model is only valid within a special set of assumptions. Investors are risk averse who maximize the expected utility of their end of period wealth. Hence, the model is a one period model. Investors have homogenous expectations about asset returns. Hence, all investors have the same information at the same time. In the hypothetical world of the.