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You have two assets, one with a beta of 0.5, the other with a beta of 1.5. What will be the expected return of an
You have two assets, one with a beta of 0.5, the other with a beta of 1.5. What will be the expected return of an equal-weighted portfolio if the risk free rate is 2% and the market expected return is 11%? Answer with a decimal: like 0.085, not 8.5% or 8.5
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