AAFM Chartered Wealth Manager (CWM) Global Examination GLO_CWM_LVL_1 Question # 186 Topic 19 Discussion

AAFM Chartered Wealth Manager (CWM) Global Examination GLO_CWM_LVL_1 Question # 186 Topic 19 Discussion

GLO_CWM_LVL_1 Exam Topic 19 Question 186 Discussion:
Question #: 186
Topic #: 19

A Portfolio manager is holding the following portfolio:

GLO_CWM_LVL_1 Question 186

The risk free rate of return is 6% and the portfolio’s required rate of return is 12.5%. The manager would like to sell all of his holdings in stock A and use the proceeds to purchase more shares of stock D. What would be the portfolio’s required rate of return following this change?


A.

13.63%


B.

10.29%


C.

11.05%


D.

12.52%


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