Question: The beta of stock A is 0.35 and the beta of the overall market is 1.0. A portfolio is invested 60% in stock A and 40% in the market. The risk-free return and market return are 6% and 17%, respectively. What is the fair (required) return on the portfolio according to CAPM? The response must be typed, single spaced, must be in times new roman font (size 12) and must follow the APA format.