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You hold a portfolio of 3 stocks: Portfolio Weight Beta Stock A 25% 0.7 Stock B 50% 1.5 Stock C 25% 1.2 The risk-free rate
You hold a portfolio of 3 stocks: Portfolio Weight Beta Stock A 25% 0.7 Stock B 50% 1.5 Stock C 25% 1.2 The risk-free rate is 2.1, and the market risk premium is 5. What is the expected return of this portfolio? Enter and round your answer to the nearest one-hundredth of a percent. Do not include the percent sign (%)
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