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The risk-free rate is 2.54%. A portfolio manager has the following forecasts: (1) The stock market index is expected to have a return of 10.23%

The risk-free rate is 2.54%. A portfolio manager has the following forecasts: (1) The stock market index is expected to have a return of 10.23% and standard deviation of 25.9%; (2) Stock A is expected...

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