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1. You hold a portfolio composed of 30% security A and 70% security B. If A has an expected return of 18% and B has an expected return of 18%, what is the expected return from your portfolio? The expected return from your portfolio is __%.

(Round to two decimal places.)

2. Assume you buy a share of stock at $40, it pays $2.28 in dividends, and you sell it 213 days later for $34. What is your annualized return? Enter a negative percentage for a loss and assume a? 365-day year. Your annualized return is ___%. (Round to two decimal places.)

Financial Management, Finance

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