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Click to see additional instructions You have a portfolio with four stocks. 15% of your funds is in Stock P; 20% of your funds is
Click to see additional instructions You have a portfolio with four stocks. 15% of your funds is in Stock P; 20% of your funds is in Stock Q; 35% of your funds is in Stock R and 30% of your funds are in Stock S. The betas of Stock P, Q, R, and S are, 0.6, 1.2, 1.1 and 1.8, respectively. What is the beta of your portfolio? (Answer should be a number, to two decimal places. E.g., if your answer is 1.363, type 1.36.)
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