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Business, 10.03.2020 08:13 pravikumar01

(Portfolio beta and CAPM) You are putting together a portfolio made up of four different stocks. However, you are considering two possible weightings: LOADING a. What is the beta on each portfolio? b. Which portfolio is riskier? c. If the risk-free rate of interest were 4 percent and the market risk premium were 5 percent, what rate of return would you expect to earn from each of the portfolios?

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