Using Excel, how do I use the CAPM formula to figure out the Expected Return Rate for a two-asset portfolio? I have the beta for two different stocks but I want to plot the information on one graph showing the Expected Risk on the x axis and the Expected Return on the y-axis? I have completed this much of the data so far. Additionally, the beta for target is 0.758 and the beta GM is 1.193. I understand how to calculate for one stock at a time but not together… I am ultimately trying to use the table above to create a chart like this one:
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