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Given the following information, calculate the beta for the portfolio of stocks A, B, and C. (Answer to the nearest tenth). ' I a Google

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Given the following information, calculate the beta for the portfolio of stocks A, B, and C. (Answer to the nearest tenth).

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' I a Google Calend X \M InbOX* mxrosa X CAPM and Bet: X /m Take Test: Portt X \- Take Test: Expe X \G QUESTION 1 A X \- Other Rewards X " Q5 W 7 X 6 0' O ' Secure i https://blackboard.uairedu/webapps/assessment/take/Iaunch.jsp?courseiassessmentiid:75161671&courseiid:7440087'l&contentid:7131098371... (9, it" Q a ' QUESTION 1 1points SaveAnswer Given the following information, calculate the expected return for the portfolio of stocks A and B. (Answer to the nearest tenth of a percent, but do not use a percent sign). Amount Expected Invested Return Stock A $8,000 19% Stock B $6,000 20% Click Save and Submit to save and submit. Click Save AllAnswers to save all answers. Save All Answers Close Window Save and Submit "3 _ 7:"; PM 0 Type here to search L , i2," 5:201 /

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