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If a portfolio has two stocks: MSFT and IBM weighted as 60% and 40%, respectively. If the expected annual return for MSFT is 12% while

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If a portfolio has two stocks: MSFT and IBM weighted as 60% and 40%, respectively. If the expected annual return for MSFT is 12% while for IBM is 6%, what is the expected return of this portfolio? OA. 6.4% OB. 8.4% OC. 9.6% OD. 11.2% Reset Selection

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