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Stock Beta (6) 0.5 B 1.5 1.0 D 2.0 If the market moves 3%, calculate the expected move in a portfolio that is 40% Stock

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Stock Beta (6) 0.5 B 1.5 1.0 D 2.0 If the market moves 3%, calculate the expected move in a portfolio that is 40% Stock A and 30% Stock B and 30% stock C. Stock Beta () A 0.5 B 1.5 C 1.0 D 2.0 Considering all four stocks (A, B, C and D), which stock adds the least risk to a diversified portfolio? A B OD Stock Beta (B) w 0.5 X 1.5 Y 2.0 N 2.5 Construct a portfolio with two stocks, each at 50% of the portfolio, so that the portfolio has twice the expected return of the market if the market rises. Pick two of stocks W.X.Y or Z. w N CY

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