Stock x has a beta of 09 and an expected return of 12 stock
Stock X has a beta of 0.9 and an expected return of 12%. Stock Y has a beta of 1.4 and an expected return of 16%. What is the risk-free rate if these securities both plot on the security market line?
a. 4.8%
b. 4.6%
c. 4.2%
d. 4.4%
e. 5.0%
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