The risk-free return is 3.1% and the market return is 12.0%. What is the expected return for the following portfolio?

The risk-free return is 3.1% and the market return is 12.0%. What is the expected return for the following portfolio?

Stock Beta (AY Investment $
AA 3.4 125
BB 2.9 330
CC 1.3 235
DD 0.9 500

 

 

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