=+b What is the expected return and standard deviation for a portfolio composed of 30 per cent
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=+b What is the expected return and standard deviation for a portfolio composed of 30 per cent of X and 70 per cent of Y, assuming X and Y have a correlation coef-
ficient of +0.5?
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Corporate Financial Management And How To Write Essays And Assignments
ISBN: 978-1405882897
Coursepack Edition
Authors: Glen Arnold
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