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The riskless rate is 3 % . The tangent portfolio of risky asset has an expected return of 9 % and a volatility of 1

The riskless rate is 3%. The tangent portfolio of risky asset has an expected return of 9% and a volatility of 10%. What is the optimal portfolio of an investor who has a target expected return of 12%?
a.150% of the wealth invested in the tangent portfolio.
b.50% of the wealth invested in the tangent portfolio.
c.100% of the wealth borrowed and the proceed invested in the tangent portfolio.
d.75% of the wealth borrowed and the proceed invested in the tangent portfolio.of 9% and a volatility of 10%. What is the optimal portfolio of an investor who has a target expected return of 12%?
a.150% of the wealth invested in the tangent portfolio.
b.50% of the wealth invested in the tangent portfolio.
c.100% of the wealth borrowed and the proceed invested in the tangent portfolio.
d.75% of the wealth borrowed and the proceed invested in the tangent portfolio.

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