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a. Compute the two stocks expected return, variance, standard deviation, covariance, and correlation. b. Create a portfolio 50% in High Tech (remainder in Low Tech);
a. Compute the two stocks expected return, variance, standard deviation, covariance, and correlation. b. Create a portfolio 50% in High Tech (remainder in Low Tech); calculate the portfolio expected return and standard deviation. Compare and discuss these results to Low Tech standalone results
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