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Stock A has the expected return of 10% and the standard deviation of 15%. Stock B has the expected return of 15% and the standard

Stock A has the expected return of 10% and the standard deviation of 15%. Stock B has the expected return of 15% and the standard deviation of 20%. The risk-free rate is 3%. If you could invest in the risk-free asset and only one of the two stocks, which of the stocks A and B will you choose and why? (2 points)

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