Problem 2) a) What is the market risk premium and risk-free rate?

13.0% and 3.0%

10.0% and 3.0%

13.0% and 1.0%

10.0% and 13.0%

10.0% and 6.3%

13.0% and 10.3%

15.0% and 3.0%

Insufficient information.

Problem 2)

b) What would be the beta of a portfolio consisting of 40% of Stock A and 60% of Stock B?

1.00

0.60

0.66

0.73

0.00

0.50

13.0%

10.0%

Problem 2) c) What would be the expected return of the portfolio under b)?

10.30%

6.25%

10.64%

13.00%

9.63%

8.95%

12.49%

7.30%

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