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Finance 306: Financial Management Homework: Class 17 Homework Kol Royal 1016/04 PM Score: 0 of 1 pt 17 of 17 (12 completa HW Score: 68.63%,

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Finance 306: Financial Management Homework: Class 17 Homework Kol Royal 1016/04 PM Score: 0 of 1 pt 17 of 17 (12 completa HW Score: 68.63%, 11.67 of 17 pts P 12-19 (similar to) Question Hello O Your client has $90.000 invested in stock A. She would like to build a two-stock portfolio by investing other $10.000 in other wock Bor C. She wants a portato wth an expected return of the 15% and slowa pombe standard deviation must be no more than 40% What do you advise her to do, and what will be the portfolio expected retum and standard deviation? Expected Return Standard Deviation Correlation with a 17% 1.00 0.17 C 38% The expected return of the portfolio with stock Bis (Round to one decimal place) A

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