The expected return and beta of three stocks are given


The Expected return and Beta of three stocks are given below Stocks X Y Z Expected Return 18% 10% 14% Beta 1.7 0.6 1.2 If the risk free rate is 8% and the expected rate of return on the market portfolio is 13%. What shall be the strategy ?

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Management Theories: The expected return and beta of three stocks are given
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