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Berdasarkan informasi tersebuta. Expected return Asset Ab. Standard Deviation Asset A dan Asset Bc. Portfolio AB Expected Return.d. Coefficient Correlation ABe. Portofolio AB Standard DeviationhitunglahGunakan

Berdasarkan informasi tersebuta. Expected return Asset Ab. Standard Deviation Asset A dan Asset Bc. Portfolio AB Expected Return.d. Coefficient Correlation ABe. Portofolio AB Standard DeviationhitunglahGunakan excel dan rumus. Perlihatkan caranya.

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Berikut ini adalah informasi mengenai PT. A dan PT. B: Prediksi kondisi pasar Annual Rate of Return Probability Asset A Asset B Sangat pesimis 0.05 0.150 -0.250 Pesimis 0.15 0.100 -0.120 Netral 0.50 0.085 0.075 Optimis 0.20 -0.140 0.160 Sangat Optimis 0.10 -0.200 0.270

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