Stock a has a beta of 07 and stock b has a beta of 11 you
Stock A has a beta of 0.7, and stock B has a beta of 1.1. You invest 0.2% of your capital in stock A, and the rest in stock B. What is the beta of the resulting portfolio?
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write a five to ten page paper double-spaced focusing on only one of the following suggested topics1 your paper on
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stock a has a beta of 07 and stock b has a beta of 11 you invest 02 of your capital in stock a and the rest in stock b
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