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Company A has a beta if 1.5, and Ckmpany B has a Beta of 1.1. The risk free rate of interest is 4% and the

Company A has a beta if 1.5, and Ckmpany B has a Beta of 1.1. The risk free rate of interest is 4% and the market premium is 8%. what is the expected return on a portfolio with 40% if its money in Company B anf the balance in Company A?

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