A. Determine the Expected Rate of Return on Market Portfolio given that the Expected Rate of Return on Asset 'i' is 10%, Risk-Free Rate is 3 percent, and the Beta for Asset 'i' is 1.5.
b. Find the Risk-Free Rate given that the Expected Rate of Return on Asset "j" is 14%, the Expected Return on the Market Portfolio is 12%, and the Beta for Asset "j" is 1.5.