A friend brags that she expects to earn a return of 10.25% on her portfolio with a beta of 0.825

Can you match her performance with Stock X (12% return and a beta of 1.1 ) and the risk free asset that earns a 5% return? With what portfolio weights?
A) Yes, 0.75 Stock X and 0.25 Risk Free Asset
B) Yes, 0.25 Stock X and 0.75 Risk Free Asset
C) Yes, 0.5 Stock X and 0.5 Risk Free Asset
D) No


A

Business

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