You invest 2 in the risk free asset and 3 in the market
You invest $2 in the risk free asset, and $3 in the market portfolio. The risk free rate is 2%. The expected return on your portfolio is 5%. What must be the expected return on the market portfolio?
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you invest 2 in the risk free asset and 3 in the market portfolio the risk free rate is 2 the expected return on your
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