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Homework: MEL 11 Save Score: 0 of 1 pt 10 of 10 (1 complete) HW Score: 10%, 1 of 10 pts P 11-25 (book/static) Question

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Homework: MEL 11 Save Score: 0 of 1 pt 10 of 10 (1 complete) HW Score: 10%, 1 of 10 pts P 11-25 (book/static) Question Help Consider the following 6 months of returns for 2 stocks and a portfolio of those 2 stocks: Note: The portfolio is composed of 50% of Stock A and 50% of Stock B. a. What is the expected return and standard deviation of returns for each of the two stocks? b. What is the expected return and standard deviation of returns for the portfolio? c. Is the portfolio more or less risky than the two stocks? Why? a. What is the expected return and standard deviation of returns for each of the two stocks? The expected return of Stock Ais %. (Round to one decimal place.) Homework: MFL 11 Save Score: 0 of 1 pt 10 of 10 (1 complete) HW Score: 10%, 1 of 10 pts P 11-25 (book/static) Question Help Consider the following 6 months of returns for 2 stocks and a portfolio of those 2 stocks: Note: The portfolio is composed of 50% of Stock A and 50% of Stock B. a. What is the expected return and standard deviation of returns for each of the two stocks? b. What is the expected return and standard deviation of returns for the portfolio? c. Is the portfolio more or less risky than the two stocks? Why? a. What is the expected return and standard deviation of returns for each of the two stocks? The expected return of Stock Ais %. (Round to one decimal place.) Homework: MEL 11 Save Score: 0 of 1 pt 10 of 10 (1 complete) HW Score: 10%, 1 of 10 pts P 11-25 (book/static) Question Help Consider the following 6 months of returns for 2 stocks and a portfolio of those 2 stocks: Note: The portfolio is composed of 50% of Stock A and 50% of Stock B. a. What is the expected return and standard deviation of returns for each of the two stocks? b. What is the expected return and standard deviation of returns for the portfolio? c. Is the portfolio more or less risky than the two stocks? Why? a. What is the expected return and standard deviation of returns for each of the two stocks? The expected return of Stock Ais %. (Round to one decimal place.) Homework: MFL 11 Save Score: 0 of 1 pt 10 of 10 (1 complete) HW Score: 10%, 1 of 10 pts P 11-25 (book/static) Question Help Consider the following 6 months of returns for 2 stocks and a portfolio of those 2 stocks: Note: The portfolio is composed of 50% of Stock A and 50% of Stock B. a. What is the expected return and standard deviation of returns for each of the two stocks? b. What is the expected return and standard deviation of returns for the portfolio? c. Is the portfolio more or less risky than the two stocks? Why? a. What is the expected return and standard deviation of returns for each of the two stocks? The expected return of Stock Ais %. (Round to one decimal place.)

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