試卷名稱:110年 - 110 國立清華大學碩士班考試入學試題_計量財務金融學系/甲組(財務金融組):財務管理#105244
年份:110年
科目:研究所、轉學考(插大)◆財務管理
10. Use the following information to answer the question below.
The volatility of the market portfolio is 10%, the expected return on the market is 8%, and the risk-free rate of interest is 3%. The expected return on the portfolio of the three stocks is closest to:
(A) 5.1%.
(B)10.4%.
(C)6.8%.
(D)9.6%.
(E) 7.6%.