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E(Ri) 6% 3. Calculate the expected rate of return and beta for the portfolio. Stock W(1) Beta 1 0.10 2 0.15 3 0.20 4 0.25

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E(Ri) 6% 3. Calculate the expected rate of return and beta for the portfolio. Stock W(1) Beta 1 0.10 2 0.15 3 0.20 4 0.25 5 0.30 8% N 0.70 0.90 1.10 1.30 1.50 10% 12% 4 5 14%

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