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Question 40 6.5 pts The expected return of the market portfolio is given as 12.7 percent. The risk free rate is 2.9 percent. You invest
Question 40 6.5 pts The expected return of the market portfolio is given as 12.7 percent. The risk free rate is 2.9 percent. You invest $870,000 in a stock with a beta of 1.60. What is the expected value of your portfolio at the end of one year, if the capital asset pricing model is valid? $1,262,901 $1,009,200 $998,447 $1,031,646 $883,920
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