接上题 甲公司持有A B C三种股票构成的证券组合,他们的β系数分别为1.5、1、0.5他们在投资组合中占比分别为60%,30%,10%。股票市场的平均报酬率为16%,无风险报酬率为10%。则投资组合的风险报酬率是( %) 请直接填入百分数,不必加%
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