What is the expected return and beta of your portfolio


What is the expected return and beta of your portfolio using the following data: Market risk premium = 8 percent Risk-free rate = 4 percent Beta of XYZ = 1.5; Beta of PDQ = 2.0 Investment in XYZ stock = $50,000 Investment in PDQ stock = $100,000 You have no other financial assets Beta of Portfolio = 1.83

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Finance Basics: What is the expected return and beta of your portfolio
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