Question: Calculate the expected return for a portfolio containing the two assets described in the table. Round your answer to the nearest tenth. Column 1 is

Calculate the expected return for a portfolio containing the two assets described in the table. Round your answer to the nearest tenth.

Column 1 is titled 'Assets.' Column 2 is titled 'Present Value.' Column 3 is titled 'Relative Weight.' Column 4 is titled 'Expected Return.' Column 5 is titled 'Standard Deviation.' Row 1, column 1 is labeled 'A', column 2 contains the value '800', column 3 contains the value '55 percent', column 4 contains the value '4 percent', column 5 contains the value '35 percent'. Row 2, column 1 contains the value 'B', column 2 contains the value '650', column 3 contains the value '45 percent', column 4 contains the value '9 percent', column 5 contains the value '47 percent.'

2.2%

4.0%

6.3%

7.6%

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