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3. Assuming a portfolio that is comprised of 30% stocks and 70% bonds. The expected return of return of stocks = 10% and the expected

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3. Assuming a portfolio that is comprised of 30% stocks and 70% bonds. The expected return of return of stocks = 10% and the expected return on bonds = 6%. The volatility of stocks = 18%, the volatility of bonds is 8% and the correlation between stocks and bonds is 0.35. What is the expected return and risk of the portfolio

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