Multiple Choice
Use the following information to answer the question(s) below. The volatility of the market portfolio is 10%,the expected return on the market is 12%,and the risk-free rate of interest is 4%.
-Suppose that Google stock has a beta of 1.06 and Boeing stock has a beta of 1.31.The beta on a portfolio that consists of 30% Google stock and 70% Boeing stock is closest to:
A) 1.06.
B) 1.14.
C) 1.19.
D) 1.24.
Correct Answer:

Verified
Correct Answer:
Verified
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