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FIN4315 CRN 26409 CH4&5 Practice 1 Asset 1 Asset 2 Asset 3 Market Condition Good Average Poor Return Probability Return Probability Return Probability 16 12
FIN4315 CRN 26409 CH4&5 Practice 1 Asset 1 Asset 2 Asset 3 Market Condition Good Average Poor Return Probability Return Probability Return Probability 16 12 4 20 14 1. Expected return and standard deviation for asset 1 and 2 2. Correlation coefficient and covariance between asset 1 and 2
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