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MCS,PHD
Argosy University/ Phoniex University/
Nov-2005 - Oct-2011
Professor
Phoniex University
Oct-2001 - Nov-2016
You have a portfolio consisting solely of stock A and stock B. The portfolio has an expected return of 10.2 percent. Stock A has an expected return of 12 percent while stock B is expected to return 7 percent. What is the portfolio weight of stock A? (Hint: the portfolio weights sum up to 1) I have no clue on how to do this, also there is another question I have no clue on: The common stock of company J has an expected return of 14%. The return on the market is 10% and the risk-free rate of return is 3%. What is the beta of this stock?
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