假定某资产组合中包含 A 、 B 、 C 三种股票,股份数分别为 150 、 200 、 50 ,每股初始市场价分别为 20 元、 15 元和 30 元,若每股期末的期望值分别为 30 元、 25 元和 40 元,计算该资产组合的期望收益率。
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