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You have a portfolio that is invested 19 percent in Stock A, 42 percent in Stock B, and 39 percent in Stock C The betas

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You have a portfolio that is invested 19 percent in Stock A, 42 percent in Stock B, and 39 percent in Stock C The betas of the stocks are 1, 1.4 and 1.2, respectively. What is the beta of the portfolio? Please round your answer to two decimal places

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