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Suppose Autodesk stock has a beta of 2.20, whereas Costco stock has a beta of 0.71. if tue risk-free interest rate is 5.5% and the
Suppose Autodesk stock has a beta of 2.20, whereas Costco stock has a beta of 0.71. if tue risk-free interest rate is 5.5% and the expected return of market is 14.0%, what is the return of portfolio that consists of 65% Autodesk stock and 35% Costco stock, according to the CAPM? the expected return is? (Round to two decimal places.) 220, where he has 0.11 posto Cow CARU
the expected return is? (Round to two decimal places.)
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