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Albertina Franich has a portfolio of 3 stocks

Finance

Albertina Franich has a portfolio of 3 stocks. Xhe currently has 11.70% of ihr portfolio invested in (Fluor Corp.) in the Construction & Engineering sector, 17.70% in (Progressive Corp.) in the Property & Casualty Insurance sector, 70.60% in (Raytheon Co.) in the Aerospace & Defense sector. They have betas of 1.01, 2.48, 1.49 respectively, given that the market is expected to return 23.00% and the yield on a 10-year treasury is 3.70%—what is the beta of the portfolio?

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Beta of the portfolio = [0.1170 * 1.01] + [0.1770 * 2.48] + [0.7060 * 1.49]

Beta of the portfolio = 1.60907

So, The beta of the portfolio = 1.60907

Expected market return = 23%

Risk free rate = 3.70%

Expected return on stock = 3.70% + [1.60907 * (23% - 3.70%)]

Expected return on stock = 34.76%.