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When calculating the expected rate of return on a stock portfolio using a weighted average, the weights are based on the: Multiple Choice number of

When calculating the expected rate of return on a stock portfolio using a weighted average, the weights are based on the:

Multiple Choice

  • number of shares owned of each stock.

  • market price per share of each stock.

  • market value of the investment in each stock.

  • original amount invested in each stock.

  • cost per share of each stock held.

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