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You own a stock portfolio invested 25% in stock Q, 20% in stock R, 15% in stock S, and 40% in stock T. The betas
You own a stock portfolio invested 25% in stock Q, 20% in stock R, 15% in stock S, and 40% in stock T. The betas for these four stocks are .9, 1.4, 1.1, and 1.8 respectively. What is the portfolio beta?
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