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Consider the below table, and that Jimmy invests 40% in JKL Corp. and 60% in MNO Corp. What would be the portfolio's expected return? 13.50%

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Consider the below table, and that Jimmy invests 40% in JKL Corp. and 60% in MNO Corp. What would be the portfolio's expected return? 13.50% 14.10% 14.50% 15.10% Same facts as above: what would be the portfolio's variance? 15.29% 14.30% 1.52% 2.04% Question 15 2.5pts Same facts as above: what would be the portfolio's standard deviation? 14.30% 15.29% 2.04% 1.52%

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