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PortfolioXYZ had a return last year of 14%. The risk-free rate of return was 3%. The market return was 10%. If Portfolio XYZ has a
PortfolioXYZ had a return last year of 14%. The risk-free rate of return was 3%. The market return was 10%. If Portfolio XYZ has a beta = 1.2. Portfolio XYZ had an alpha of _____.
+2.6%
-2.2%
+4%
+2.2%
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