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FORECASTED RETURN YEAR ASSET P ASSET D 2014 5% 8% 2015 8% 10% 2016 12% 11% 2017 14% 14% 2018 15% 9% 2019 17% 13%
FORECASTED RETURN
YEAR ASSET P ASSET D
2014 5% 8%
2015 8% 10%
2016 12% 11%
2017 14% 14%
2018 15% 9%
2019 17% 13% WEIGHT VALUE 65% 35%
Calculate expected portfolio return, standard deviation.
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