A portfolio consists of three stocks with equal weightage.If the betas of the three stocks are 2.3,3.4 and 1.5.Find the portfolio's beta.
A) 7.2
B) 21.6
C) 3.6
D) 2.4
Correct Answer:
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Q6: Which of the following is a disadvantage
Q7: How are mean-variance analysis and the CAPM
Q8: Momentum is defined as:
A)the number of securities
Q9: Which of the following is an assumption
Q10: To identify the tangency portfolio:
A)we must find
Q12: The market portfolio is:
A)a portfolio where the
Q13: What are the main assumptions of mean-variance
Q14: Which of the following equations is used
Q15: Which of the following is an assumption
Q16: The efficient frontier represents:
A)the means and correlation
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