Problem:
I want to create a portfolio equally risky as the market, and I have $1,000,000 to invest. So Given the info below, I need to fill the table below;
Asset Investment Beta
Stock A $200,000 .80
Stock B $250,000 1.30
Stock C 1.50
Risk-free asset
I know that the Investment for stock C = $343,333 and the Risk Free asset is $206,667.
I am trying to figure how to solve this problem.