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Stock S has a beta of 1.6 and stock T has a beta of 0.8 . The market risk premium is 6.0% and the risk-free

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Stock S has a beta of 1.6 and stock T has a beta of 0.8 . The market risk premium is 6.0% and the risk-free rate is 5.0%. What is the expected return for a portfolio equally invested in stocks S and T ? 12.2% 11% 6.2% 10.6%

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