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Calculate the Portfolio E(R) and Porfolio Standard Deviation based on the information regarding the 10-year Anual rate and Standard deviation and correlation given. 10-year annual

Calculate the Portfolio E(R) and Porfolio Standard Deviation based on the information regarding the 10-year Anual rate and Standard deviation and correlation given.

10-year annual return Standard deviation
Bledsoe Large Company Stock Fund 10.73% 26.73%
Bledsoe Bond Fund 8.04% 10.34%
Risk-free rate (historic) 3.60%
Correlation 0.16
Output area:
Weight of stock fund Portfolio E(r) Portfolio Std Dev
0%
10%
20%
30%
40%
50%
60%
70%
80%
90%
100%

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