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82) Which of the following comes closest to the beta of a portfolio that has 55% of the total invested in the risk free rate
82) Which of the following comes closest to the beta of a portfolio that has 55% of the total invested in the risk free rate of interest and 45% of the total invested in the market portfolio? Show all work and calculations.
a) 1.00
b) 0.45
c) 0.55
d) 0.50
e) Need more information to answer the question. (If chosen, what information is needed?)
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