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< 1 of 113 complete) HW Score: 0 of 1 pt 1.13 P13.1 (similar to) Refer to the table to the below (Click on the loon located o
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Answer #1

Fund A's beta is more than fund B's beta, which means that Fund A is more riskier than Fund B. Beta measures the systematic risk of a fund with respect to the market. Investor A invested more in Fund B which is less riskier than Fund A. Investor B put majority of money in Fund A which is riskier. A retired couple would not want to incur much risk. Therefore, Investor A represent a retired couple.

Portfolio Beta = (beta of fund A * percentage of fund A in investors portfolio) + (Beta of fund B * percentage of fund B in investors portfolio)

Portfolio beta of investor A = (1.84 * 16%) + (1.13 * 84%)
= 0.2944 + 0.9492
= 1.24
Portfolio beta of investor A = 1.24

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