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Business, 27.08.2019 18:00 naocarolina6

An investor has a portfolio with an expected return of 11.19%. the portfolio is evenly invested in a stock and a risk-free asset. the market has an expected return of 17% and the risk-free asset has an expected return of 3%. what is the beta of the stock?

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An investor has a portfolio with an expected return of 11.19%. the portfolio is evenly invested in a...
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