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17. What are the expected return and standard deviation of the possible returns for Stock 22 10 Economy Probability Stock Good 0.75 40% Bad 0.25

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17. What are the expected return and standard deviation of the possible returns for Stock 22 10 Economy Probability Stock Good 0.75 40% Bad 0.25 40% 18. Bonus: If an equally-weighted portfolio contains two stocks qually-weighted portfolio contains two stocks that are perfectly positively correlated with standard deviations of 27% and 33%, what is the portfolio's standard deviation

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