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3. Given the following television network companies, calculate the expected return and standard deviation for a portfolio that has 25% invested in NBC, 40% invested

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3. Given the following television network companies, calculate the expected return and standard deviation for a portfolio that has 25% invested in NBC, 40% invested in ABC and the remaining allocation in CBS stock. (75 POINTS) State of Economy Inflationary Recession Probability of State of Economy 65.0% 35.0% Rate of Return if State Occurs NBC ABC CBS 35.00% 41.65% 22.00% 5.35% 9.50% -8.75%

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