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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

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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 $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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