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In both Portfolio Y and Portfolio Z are well diversified. The risk-free rate is 6% , the expected return on the market is 15% ,

In both Portfolio

Y

and Portfolio

Z

are well diversified. The risk-free rate is

6%

, the expected return on the market is

15%

, and the portfolios have the following characteristics:\ \\\\table[[Portfolio,Expected Return,Beta],[Y,

17%

,1.20],[Z,

14%

,1.00]]

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