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Caitlin has a 60% allocation in stocks and 40% in Bonds. Stock has mean returns of 12% and STD deviation of 9%. Bonds have mean

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Caitlin has a 60% allocation in stocks and 40% in Bonds. Stock has mean returns of 12% and STD deviation of 9%. Bonds have mean returns of 7% and STD of 3% . Correlation is 0.4. What is her portfolio risk a. 7.25 b. 4.67 C. 9.75 d.5.982

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