Question: #4a What is the expected return on a portfolio consisting of 70 percent GM and 30 percent Symtex? Company Beta Variance Covariance AMEX GM Symtex

 #4a What is the expected return on a portfolio consisting of

#4a What is the expected return on a portfolio consisting of 70 percent GM and 30 percent Symtex? Company Beta Variance Covariance AMEX GM Symtex 1.3 1.0 0.8 0.13 0.12 0.11 0.101 COVAG 0.030 0.149 COVAS 0.043 0.048 COVGS 0.023

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