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Show calculations (not excel) when solving Consider constructing a portfolio using only two assets: a stock with a beta of 1.3 and an expected return

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Show calculations (not excel) when solving

Consider constructing a portfolio using only two assets: a stock with a beta of 1.3 and an expected return of 12.5%, and a risk-free asset with a return of 0.80%. If you construct a portfolio with an expected return of 9%, what will the portfolio's beta be

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