The risk-free return is 328 percent and inflation is


You own a portfolio that has 6,100 shares of stock A, which is priced at 18.7 dollars per share and has an expected return of 7.56 percent, and 2,200 shares of stock B, which is priced at 25.4 dollars per share and has an expected return of 14.33 percent. The risk-free return is 3.28 percent and inflation is expected to be 1.85 percent. What is the expected real return for your portfolio? Answer as a rate in decimal format so that 12.34% would be entered as .1234 and 0.98% would be entered as .0098.

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Financial Management: The risk-free return is 328 percent and inflation is
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