One share has a beta of 125 and an expected return of 14 if


Question: One share has a beta of 1.25 and an expected return of 14%. If you invest in this stock and in a risk-free asset that offers a return of 2.1%, and your portfolio (consisting of the stock and the risk-free asset) has a beta of 2.5, The weight of each security in your portfolio?

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Finance Basics: One share has a beta of 125 and an expected return of 14 if
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