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Consider an equally weighted portfolio that contains 10 stocks. If the average standard deviation of these stocks is 40% and the average correlation between the

Consider an equally weighted portfolio that contains 10 stocks. If the average standard deviation of these stocks is 40% and the average correlation between the stocks is 25%, then the standard deviation of this equally weighted portfolio is closest to: A) 19.2% B) 5.76% C) 24% D) 30%

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