7. You have a portfolio of the following four shares: Investment (*) Share Beta A 0.80 100,000...

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7. You have a portfolio of the following four shares: Investment (*) Share Beta A 0.80 100,000 B 1.25 100,000 C D 1.00 0.60 075,000 125,000 What is the expected rate of return on your portfolio if the risk-free rate of return is 9 per cent and the expected market rate of return is 16 per cent?

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