The beta of a portfolio of stocks

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The beta of a portfolio of stocks is:

a. always smaller than the betas of any of the individual stocks.

b. always large than the betas of any of the individual stocks.

c. can never be equal to zero.

d. is equal to the arithmetic average of the individual stock's beta.

e.  is equal to the weighted average of the individual stock's beta.

Reference no: EM13724944

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