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What Is the Portfolio Expected Return and the Portfolio Beta

question 349

Multiple Choice

  What is the portfolio expected return and the portfolio beta if you invest 30% in A, 30% in B and 40% in the risk-free asset? A)  9.6%; 1.32 B)  9.6%; 1.00 C)  10.1%; 0.95 D)  10.1%; 0.72 E)  10.1%; 0.63 What is the portfolio expected return and the portfolio beta if you invest 30% in A, 30% in B and 40% in the risk-free asset?


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