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The beta of stock A is 0.65 and the beta of the overall market is 1.0. A portfolio is invested 60% in stock A and
The beta of stock A is 0.65 and the beta of the overall market is 1.0. A portfolio is invested 60% in stock A and 40% in the market. The risk-free return and market return are6% and 17%, respectively.
What is the fair (required) return on the portfolio according to CAPM
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