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1. Portfolio returns. Calculate the expected return and standard deviation of an equally weighted portion of the following two assets. State Good Fair Poor 8%

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1. Portfolio returns. Calculate the expected return and standard deviation of an equally weighted portion of the following two assets. State Good Fair Poor 8% Return Asset 1 Asset 2 20% 2% 5% 0% 1% Probability 10% 60% 30% 1 2. Sharpe ratio. Calculate the Sharpe ratio of the portfolio in problem 1 if the risk-free rate is 4%

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