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Find each stock's expected rate of return, standard deviation. 5. Given the information in question 4 and assuming the portfolio is equally weighted, calculate the

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Find each stock's expected rate of return, standard deviation. 5. Given the information in question 4 and assuming the portfolio is equally weighted, calculate the return, correlation coefficient and standard deviation of a portfolio made up of stocks 1 and 2. 6. When adding a stock to a diversified portfolio what is the most important consideration in terms of risk and why

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