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202120 FNAN522-010_850-202120 Meta Course Module 2 Module 2 Homework FNAN522-010_850-202120 Adv Financial Mgmt and Policy Meta Course Question 14 A portfolio has $70,000 of bonds

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202120 FNAN522-010_850-202120 Meta Course Module 2 Module 2 Homework FNAN522-010_850-202120 Adv Financial Mgmt and Policy Meta Course Question 14 A portfolio has $70,000 of bonds and $30,000 of stock. The bonds are 80% likely to have a 10% return and 20% likely to have a 0% return. The stock is 50% likely to have a 20% return and 50% likely to have a 10% loss. What is the expected return? Not yet answered Marked out of 1.00 P Flag question Select one O a 2.90% O b. 13% O c. 7.10% O d. 5.90%

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