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Please show all workings Three companies and you consider investing into a share portfolio Company 1: expected return = 5% Beta= 0.9 Company 2: expected

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Three companies and you consider investing into a share portfolio Company 1: expected return = 5% Beta= 0.9 Company 2: expected return = 7% Beta 1.3 Company 3: expected return = 13% Beta 1.6 What is the expected return for a portfolio that has equal weighting of each company's shares? What is the beta of a portfolio that has an equal weighting of each company's shares

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