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I am struggling to find the correct equation to solve this myself. I would like help with solving the following question: A portfolio consists 20%
I am struggling to find the correct equation to solve this myself. I would like help with solving the following question:
A portfolio consists 20% of a risk-free asset and 80% of a stock. The risk-free return is 4%. The stock has an expected return of 15% and a standard deviation of 30%. How do I find the expected return?
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