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A portfolio is invested 38.2% in Stock A, 21.3% in Stock B, and the remainder in Stock C. The expected returns are 14.7%, 35.2%, and 10.3%

A portfolio is invested 38.2% in Stock A, 21.3% in Stock B, and the remainder in Stock C. The expected returns are 14.7%, 35.2%, and 10.3% respectively. What is the portfolio's expected returns?

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After working on your question, I... View the full answer

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Portfolio Return = 17.29% Stock A R =14.7%... View the full answer

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