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Problem 1 2 A ) Calculate the reward to risk ratio for Asset A with the following characteristics: Expected return of 1 6 % ,

Problem 12
A) Calculate the reward to risk ratio for Asset A with the following characteristics: Expected return of 16%, risk free rate of 7% and Beta of .75
B) Calculate the reward to risk ratio for Asset B with the following characteristics: Expected return of 24%, risk free rate of 7% and Beta of 1.25
C) What is the weighted beta of this portfolio if stock A is 45% of the portfolio and stock B is 55% of the portfolio.

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