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Your portfolio is comprised of 40% of Stock A, 15% of Stock B, and 45% of Stock C. Stock A has a beta of 1.16,

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Your portfolio is comprised of 40% of Stock A, 15% of Stock B, and 45% of Stock C. Stock A has a beta of 1.16, Stock B has a beta of 1.47, and Stock C has a beta of 1.72. What is the beta of your portfolio? O 1.05 O 1.87 O 1.46 O 1.23 O 1.37

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