Multiple choice1 / 10
A portfolio has weights of , , and in three assets with expected returns of 8 ext{%}, 12 ext{%}, and 5 ext{%}, respectively. The portfolio's weighted mean return is closest to:
A portfolio has weights of 0.25, 0.35, and 0.40 in three assets with expected returns of 8 ext{%}, 12 ext{%}, and 5 ext{%}, respectively. The portfolio's weighted mean return is closest to: