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(Portfolio beta and CAPM) You are putting together a portfolio made up of four different stocks. However you are considering two possible weightings Home -59pm

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(Portfolio beta and CAPM) You are putting together a portfolio made up of four different stocks. However you are considering two possible weightings Home -59pm 29pm a. What is the beta on each portfolio? b. Which portfolio is riskier? c. If the tisk free rate of inforest were 4 percent and the market nsk premium were 5 percent what rate of return would you expect to earn from each of the portfolios a. The beta on the first portfolio is (Round to three decimal places) -oints of per ques .6 Data Table 2.50 Portfolio Weightings Asset Bata First Portfolio Second Portfolio A 1046 40% B 100 1046 4094 050 4046 TON 150 40% 10% (Click on the icon in order to copy it content predsheet Print bone 582021 CRN

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