12. The distribution of returns for share P and the market portfolio is given below: Probability 0.30
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12. The distribution of returns for share P and the market portfolio is given below: Probability 0.30 0.40 0.30 Returns (%) Share P Market 30 -10 20 20 0 30 You are required to calculate the expected returns, standard deviation and variance of the returns of share P and the market.
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