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Expected return and standard deviation. Use the following information to answer the questions: a. What is the expected return of each asset? b. What is

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Expected return and standard deviation. Use the following information to answer the questions: a. What is the expected return of each asset? b. What is the variance and the standard deviation of each asset? c. What is the expected return of a portfolio with 9% in asset J, 47% in asset K, and 44% in asset L? d. What is the portfolio's variance and standard deviation using the same asset weights from part (c)? Hint: Make sure to round all intermediate calculations to at least seven (7) decimal places. The input instructions, phrases in parenthes after each answer box, only apply for the answers you will type. a. What is the expected return of asset J? (Round to four decimal places.) Data table - X State of Economy Boom Growth Stagnant Probability of State 0.28 0.36 0.22 Return on Asset J in State 0.065 0.065 0.065 Return on Asset K in State 0.190 0.140 0.060 Return on Asset Liu State 0.270 0.180 0.080 Recession 0.14 0.065 -0.140 -0.210

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