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What is the CAPM expected return of a portfolio with 33% invested in the market portfolio, 26% invested in risk-free assets, and the rest invested

What is the CAPM expected return of a portfolio with 33% invested in the market portfolio, 26% invested in risk-free assets, and the rest invested in a stock with a beta of 1.9? The risk free rate is 0.9% and the expected market risk premium is 5.2%. Answer in percent, rounded to two decimal places.

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