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condition Probability Stock A Return Stock B Return Recession 0.3 6% -20% Normal 0.55 7% 13% Boom 0.15 11% 33% Calculate expected return and standared
condition | Probability | Stock A Return | Stock B Return | |
Recession | 0.3 | 6% | -20% | |
Normal | 0.55 | 7% | 13% | |
Boom | 0.15 | 11% | 33% | |
Calculate expected return and standared Deviation |
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