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Compute for the expected return and standard deviation of the portfolio: Stock A: Weight 30, Return -25 Stock B: Weight 10, Return -10 Stock C:
Compute for the expected return and standard deviation of the portfolio:
Stock A: Weight 30, Return -25
Stock B: Weight 10, Return -10
Stock C: Weight 25, Return 25
Stock D: Weight 35, Return 30
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