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You own a portfolio invested 25% in Stock Q, 20% in Stock R, 10% in Stock S, and the remainder in Stock T. The betas

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You own a portfolio invested 25% in Stock Q, 20% in Stock R, 10% in Stock S, and the remainder in Stock T. The betas of these stocks are 1.59,0.86,1.18, and 0.90 respectively. What is your portfolio Beta? Enter your answer as a number with 2 decimal places of precision (i.e. 1.23). HINT: you will need to first calculate the weight of Stock T

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