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A portfolio consists of the following 2 stocks Stock A B Amount Invested $0.54 million 1.26 million Beta 1.2 0.4 The risk free rate is

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A portfolio consists of the following 2 stocks Stock A B Amount Invested $0.54 million 1.26 million Beta 1.2 0.4 The risk free rate is 5% and the market risk premium is 6%. What is the required return on the portfolio? 11.00% 9.62% 5.64% 8.84% 7.81%

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