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7 stock A has an expected return of 18% and Stock B has an expected return of 10%. The market return is 12% and risk-
7 stock A has an expected return of 18% and Stock B has an expected return of 10%. The market return is 12% and risk- free return is 5%. If you invest 60% in A and 40% in B, what's the beta of your portfolio? . 2.7 B 0.148 C None of above D 1.4
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