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Question 5 (1 point) Calculate the expected return on a portfolio that contains 30% of a stock with an expected return of 3%

i keep getting these answer unit problems wrong, am I suppose to percent percent in the answer box and percent in the unit box? because the other way I keep missing problems

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Answer #1

Answer

1) Expected return on the portfolio = 8%

Expected return = (w1 * r1)+(w2 * r2)

Where ,

w1=Weight of each investment in portfolio

r1=Rate of return on each investment in portfolio

Weight Expected return Weighted average
Stock 1 30% 3% 1%
Stock 2 70% 10% 7%
8%
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