Question: answer A,B,C WITH % please Homework: Chapter 8 Homework Question 7, P8-23 (simil... HW Score: 47.62%, 3.33 of 7 points O Points: 0 of 1

answer A,B,C WITH % please
answer A,B,C WITH % please Homework: Chapter 8 Homework Question 7, P8-23

Homework: Chapter 8 Homework Question 7, P8-23 (simil... HW Score: 47.62%, 3.33 of 7 points O Points: 0 of 1 Save Part 1 of 6 (Portfolio beta and CAPM) You are putting together a portfolio made up of four different stocks. However, you are considering two possible weightings: a. What is the beta on each portfolio? 1. Which portfolio is riskler? c. If the risk free rate of interest were 5 percent and the market risk premium were percent, what rate of return would you expect to earn from each of the portfolios? a. The beta on the first portfolio is 0.24 (Round to three decimal places.) Data table Portfolio Weightings Asset Beta First Portfolio Second Portfolio 2.30 8% 42% 0.00 8% 42% 040 42% 8% -1.30 8% (Click on the order to copy content to wheel) Print Done Help me solve this View an example Get more help Clear all Check

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