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Calculate the mean (average return), variance, and standarddeviation of a portfolio consisting of 70% in A and 30% in B. Showyour work in detail.SecurityReturnStandard DeviationAllocat

Calculate the mean (average return), variance, and standarddeviation of a portfolio consisting of 70% in A and 30% in B. Showyour work in detail.SecurityReturnStandard DeviationAllocat 2 answers

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