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What is the expected return of this portfolio of stocks? Portfolio Weight Expected Return Stock X Stock Y Stock Z 40% 25% 35% 12.31% 13.03%
What is the expected return of this portfolio of stocks? Portfolio Weight Expected Return Stock X Stock Y Stock Z 40% 25% 35% 12.31% 13.03% 10.93% Enter and round your answer to the nearest one-hundredth of a percent. Do not include the percent sign (%). You have a portfolio of two stocks held in equal weights. The ABC stock has a beta of 1.6, and the XYZ stock has a beta of -0.8. The risk free rate is 6% and the market risk premium is 7%. What is the return on the portfolio? Enter as a percent and round to the nearest hundredth of a percent. A portfolio consists of two stocks: 30% of Stock 1 with standard deviation of 37.42% and 70% of Stock 2 with a standard deviation of 46.26%. The correlation of Stocks 1 and 2 is 0.5. What is the standard deviation of this portfolio
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