The UIB company desires to construct a portfolio with 15% expected return. The portfolio is to consist of some combination of security X and security Y, which have the following expected returns, standard deviations of returns, and betas: Security X 8% 6% 0.94 Security 19% 15% 1.50 Market portfolio 13% 4% Risk free return 2% Expected return Standard deviation Beta  Determine the beta of the portfolio

EBK CONTEMPORARY FINANCIAL MANAGEMENT
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ISBN:9781337514835
Author:MOYER
Publisher:MOYER
Chapter8: Analysis Of Risk And Return
Section: Chapter Questions
Problem 18P
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The UIB company desires to construct a portfolio with 15% expected return. The portfolio is to consist of some combination of security X and security Y, which have the following expected returns, standard deviations of returns, and betas:

Security X

8%

6%

0.94

Security

19%

15%

1.50

Market portfolio

13%

4%

Risk free return

2%

Expected return

Standard deviation

Beta

 Determine the beta of the portfolio

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