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22. What is the standard deviation of a portfolio that is invested 40% in stock Q and 60% in stock R ? A. 0.7% B.

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22. What is the standard deviation of a portfolio that is invested 40% in stock Q and 60% in stock R ? A. 0.7% B. 1.4% C. 2.6% D. 6.8% E. 8.1%

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