faha141 faha141
  • 17-12-2022
  • Business
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Assume that you manage a $12.00 million mutual fund that has a beta of 1.25 and a 9.50% required return. The risk-free rate is 2.20%. You now receive another $13.00 million, which you invest in stocks with an average beta of 0.90. What is the required rate of return on the new portfolio?

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