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41. The risk-free return is 3.3% and the market return is 15.3%. What is the expected...

41. The risk-free return is 3.3% and the market return is 15.3%. What is the expected return for the following portfolio? (State your answer in percent with two decimal places.) Stock Beta Investment AAA 3.7 $700,000 BBB 2.8 $1,000,000 CCC 1.9 $2,900,000 DDD 1.1 $2,000,000

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E47 46 Asset Market value Weights in portfolio [beta 47AAA S 700,000 48 BBB S 1,000,000 49 CCC S 2,900,000 50 DDD S 2,000,000

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