What is the beta of a 3-stock portfolio including 25% of stock a with a beta of 0.90, 40% of stock b with a beta of 1.0

What is the beta of a 3-stock portfolio including 25% of stock a with a beta of 0.90, 40% of stock b with a beta of 1.05, and 35% of stock c with a beta of 1.73?

Asked on September 7, 2017 in No Category.
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