Answer:
Portfolio return = 0.1032 or 10.32%
Explanation:
To calculate the expected rate of return of a stock portfolio, we take the weighted average of the expected return for each stock contained in the portfolio. The formula to calculate the expected return of portfolio is,
Portfolio return = wA * rA + wB * rB + ... + wN * rN
Where,
Portfolio return = 0.34 * 0.08 + 0.49 * 0.11 + 0.17 * 0.13
Portfolio return = 0.1032 or 10.32%