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Portfolio has a beta of 2.0. It is currently worth $500,000 and index stands at 1000. The risk-free rate is 12% per annum. The dividend

Portfolio has a beta of 2.0. It is currently worth $500,000 and index stands at 1000. The risk-free rate is 12% per annum. The dividend yield on both the portfolio and the index is 6%. What is the expected value of the portfolio when the index is 1060 in four months?

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