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Karen Kay, a portfolio manager at Collins Asset Management, is using the capital asset pricing model for making recommendations to her clients. Her research department

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Karen Kay, a portfolio manager at Collins Asset Management, is using the capital asset pricing model for making recommendations to her clients. Her research department has developed the information shown in the following exhibit. Forecasted Returns, Standard Deviations, and Betas Beta 0.8 Forecasted ReturnStandard Deviation StockX Stock Y Market Index Risk-free Rate 14% 17% 14% 5% 36% 25% 15% a. Calculate expected return and alpha for each stock. b. Identity and justify which stock would be more appropriate for an investor who wants to: i. Add this stock to a well-diversified equity portfolio. ii. Hold this stock as a single-stock portfolio. Karen Kay, a portfolio manager at Collins Asset Management, is using the capital asset pricing model for making recommendations to her clients. Her research department has developed the information shown in the following exhibit. Forecasted Returns, Standard Deviations, and Betas Beta 0.8 Forecasted ReturnStandard Deviation StockX Stock Y Market Index Risk-free Rate 14% 17% 14% 5% 36% 25% 15% a. Calculate expected return and alpha for each stock. b. Identity and justify which stock would be more appropriate for an investor who wants to: i. Add this stock to a well-diversified equity portfolio. ii. Hold this stock as a single-stock portfolio

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