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risk free rate=5% expected ret=13% volatility of mkt returns=20%. stock x has volatility of 28% and its correlation coeff with market returns is 0.80. volatility

risk free rate=5% expected ret=13% volatility of mkt returns=20%. stock x has volatility of 28% and its correlation coeff with market returns is 0.80. volatility of stock y is 35% and correlation coef...

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