You hold a portfolio made up of the following stocks:

Investment Value Beta
Stock L $8,000 2.0
Stock M $18,000 1.5
Stock N $14,000 .4
If the market's expected return is 14%, and the risk-free rate of return is 5%, what is the expected
return of the portfolio?
A) 17.010% B) 16.700% C) 14.698% D) 15.935%


D

Business

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