Portfolio Return Formula - Economic Benefits

Formula:
Return on Portfolio = [ ( ( R1 * W1 ) / 100 ) + ( ( R2 * W2 ) / 100 ) + ( ( R3 * W3 ) / 100 ) ]

Where,
r1,r2,r3 = Return on Respective Assets.
w1,w2,w3 = Weighting of the Assets.

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