Portfolio Expected Return Standard Deviation Risk-free 10% 0% Market 18% 24% A 20% 22% For Problems 10
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Portfolio Expected Return Standard Deviation Risk-free 10% 0%
Market 18% 24%
A 20% 22%
For Problems 10 through 16: If the simple CAPM is valid, which of the following situations are possible? Explain. Consider each situation independently.
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