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2) Find the Expected return and Standard Deviation on a portfolio formed from stocks A and B given that the Expected Return on Stock A

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2) Find the Expected return and Standard Deviation on a portfolio formed from stocks A and B given that the Expected Return on Stock A is 12.5%, the Expected Return on Stock B is 12.5%, the Standard Deviation on Stock A is 15%, the Standard Deviation on Stock B is 22%, the Correlation Coefficient between the returns on stocks A and B is -0.92, and the Weight of Stock A is 70%

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