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What are the expected return and the standard deviation for the CoR Stock? CoR Stock Scenario Probability of Scenario Rate of Return Worst Case 0.10
- What are the expected return and the standard deviation for the CoR Stock?
CoR Stock
Scenario | Probability of Scenario | Rate of Return |
Worst Case | 0.10 | 11% |
Poor Case | 0.20 | 4% |
Most Likely | 0.40 | 2% |
Good Case | 0.20 | 8% |
Best Case | 0.10 | 14% |
- Your client decides to invest $1.4 million in Flama stock and $0.6 million in Blanca stock. The risk-free rate is 4% and the market risk premium is 5%. The beta of the Flama Stock is 1.2; and the beta of the Blanca stock is 0.8.
- What are the weights for this portfolio?
- What is the portfolio beta?
- What is the required return of the portfolio
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