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10.Stock X has a 10% expected return, a beta coefficient of 0.9, and a 35% standard deviation of expected returns.Stock Y has a 12.5% expected

10.Stock X has a 10% expected return, a beta coefficient of 0.9, and a 35% standard deviation of expected returns.Stock Y has a 12.5% expected return, a beta coefficient of 1.2 and a 25% standard deviation.The risk-free rate is 6% and the market risk premium is 5%.

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