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A stock has an expected return of 17.5% and a beta of 1.65. Another asset which is risk free is earning 3.25%

What is the expected return on a portfolio that is comprised of 1/2 the high risk stock and 1/2 the risk free asset?

Calculate the weights of each of these if they are the only 2 holdings in a portfolio which has a beta of 1.00.

If the portfolio of these two holdings earned 10%, what would be the beta of the portfolio?

Financial Management, Finance

  • Category:- Financial Management
  • Reference No.:- M92747397

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