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please i need help Abrams builds a portfolio by investing in two stocks only: Microsoft (MSFT) and Nokia (NOK). According to the CAPM, the expected

please i need help
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Abrams builds a portfolio by investing in two stocks only: Microsoft (MSFT) and Nokia (NOK). According to the CAPM, the expected risk premium (ie, the expected return minus the risk-free rate) of MSFT is 13.21% and the expected risk premium of NOK is 6.74%. The beta of MSFT is equal to 1.03 . If Abrams puts 72% of his money in MSFT stock and 28% in NOK stock, what is the approximate beta of his portfolio? p=(Pleaseroundyouranswerwithtwodecimals)

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