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can someone please solve these 2 questions What is the variance of a portfolio consisting of ( $ 4,000 ) in stock ( A )

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What is the variance of a portfolio consisting of \\( \\$ 4,000 \\) in stock \\( A \\) and \\( \\$ 4,000 \\) in stock \\( B \\) ? You own a portfolio with the following expected returns given the various states of the economy. What is the overall portfolio

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