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If you want to estimate the portfolio standard deviation for a four-share portfolio you will require estimates of six covariances and four variances. twelve covariances

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If you want to estimate the portfolio standard deviation for a four-share portfolio you will require estimates of six covariances and four variances. twelve covariances and four variances. o eight covariances and four variances. four covariances and six variances. four covariances and three variances

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