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Stock A has β=0.8 and Stock B has β=1.4. A portfolio with 40% A and 60% B has portfolio beta of:

A1.20
B1.10
C1.04
D1.16
Answer & Solution
Correct answer: D. 1.16
1. Identify what the question asks: this concept maps to portfoliobeta (§7). 2. Apply the framework or formula relevant to the topic. 3. Eliminate distractors and arrive at the correct option (D). _Source: ICAI BoS CA Final Paper 2, Ch 6 "Portfolio Management"_
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