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Suppose you can invest in the following stocks B and C: | Expected Return Standard Deviation ---------------------------------------------- B|10% 20% C|15% 30% The correlation between stock B and C is 0.5, and the risk-free T-Bill rate is 3%. (a) Solve for the MVE portfolio. (b) Assume stocks B and C are the only assets in the economy. What is the implied market portfolio according to CAPM? (c) What are the βs for the two stocks? (d) Plot the expected returns vs the βs (SML). What does the intercept of the SML represent? What does the slope of the SML represent? (e) Draw the mean variance frontier. Locate the MVE portfolio on the frontier and plot the CML. What are the differences between the SML in part (c) and the CML?

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