b. Calculate the probability distribution of the returns on a mixed portfolio comprised of equal proportions of
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b. Calculate the probability distribution of the returns on a mixed portfolio comprised of equal proportions of securities A and B. Also calculate the expected return, variance, and standard deviation.
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Related Book For
Principles Of Finance With Excel
ISBN: 9780190296384
3rd Edition
Authors: Simon Benninga, Tal Mofkadi
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