ClubUpscale
Nov 2, 2007, 10:29 AM
An investor has a three-stock portfolio with $100,000 invested in Dell, $50,000 invested in Ford and $25,000 invested in Wal-Mart. Dell’s beta is estimated to be 1.20, Ford’s beta is estimated to be 0.80,and Wal-Mart’s beta is estimated to be 1.0. What is the estimated beta of the investor’s portfolio?





