What is the expected return on the portfolio


Suppose the following distribution describes the possible returns from a portfolio in 1 year: there is a 32% chance of the portfolio return being -8%, a 13% chance the portfolio return is 3%, a 15% chance the portfolio return is 9%, and otherwise, the portfolio return will be 16%. What is the expected return on the portfolio?

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Basic Statistics: What is the expected return on the portfolio
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