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QUESTION 16 An investor currently holds the following portfolio: 8,000 shares of Stock A 15,000 shares of Stock B 25,000 shares of Stock C Amount

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QUESTION 16 An investor currently holds the following portfolio: 8,000 shares of Stock A 15,000 shares of Stock B 25,000 shares of Stock C Amount Invested $16,000 $48,000 $96,000 Beta - 1.3 Beta - 1.8 Beta - 22 If the risk-free rate of return is 2% and the market risk premium is 7%, then the required 23.93% 14.91%. 21.91%. 15.93%

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