Portfolio Risk and Return: Part II sample question
Choose an answer before revealing the explanation, key takeaway, and answer-choice review.
Question 1 of 1Score 0/1
Choose an answer before revealing the explanation, key takeaway, and answer-choice review.
Portfolio Risk and Return: Part II
A portfolio holds 50% in a stock with beta 1.10, 30% in a stock with beta 0.80, and 20% in a stock with beta 1.50. The portfolio beta is closest to:
Receive a weekly practice question with answer-choice explanations and a short takeaway.