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aquanman's stock returns have a standard deviation of 0.7, and green lantern's stock returns have standard deviation of 0.8. the corralation coefficient is 0.1. what

aquanman's stock returns have a standard deviation of 0.7, and green lantern's stock returns have standard deviation of 0.8. the corralation coefficient is 0.1. what is the standard of a portfolio composed of 70 percent aquaman and 30 percent green lantern?

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