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Potash Corp stock has a beta of 1.2,while Tim Horton's stock has a beta of 1.7.If the risk-free rate is 2.2%,and the market risk premium is 7%,what is the expected return on a portfolio with 40% weight in Potash and the remainder in Tim Horton's?
Tests Of Significance
Statistical tests used to determine whether the results of a study are likely to be due to chance or represent genuine effects.
Arithmetic Mean
The sum of a set of numbers divided by the count of numbers in the set, commonly known as the average.
Effect Size
An objective, standardized way of describing the strength of the independent variable’s influence on the dependent variable.
P Value
A statistical measure that helps scientists determine the significance of their research results.
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