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Suppose that many stocks are traded in the market and that it is possible to borrow at the risk - free rate, r f .
Suppose that many stocks are traded in the market and that it is possible to borrow at
the riskfree rate, The characteristics of two of the stocks are as follows:
a Calculate the expected rate of return on the riskfree portfolio? Hint: Try to construct a
riskfree portfolio using stocks A and BEnter your answer as a percentage
rounded to decimal places.
Expected rate of
return
b Could the equilibrium be greater than, equal to or less than your answer in #a
greater than
equal to
less than
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