甲公司持有A,B,C三种股票,在由上述股票组成的证券投资组合中,各股票所占的比重分别为50%,30%和20%,其β系数分别为2.0,1.0和0.5.市场收益率为15%,无风险收益率为10%。A股票当前每股市价为12元,刚收到上一年度派发的每股1.2元的现金股利,预计股利以后每年将增长8%。要求计算以下指标: (1)甲公司证券组合的β系数 A. 1.4 B. 1.5 C. 1.6 D. 1.7
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