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Investment Stock 1 Stock 2 E(R1) = .12 E(R2) = 16 E(S1) = .04 E($2) = .06 Calculate the expected returns and expected standard deviations

Investment

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Stock 1 Stock 2 E(R1) = .12 E(R2) = 16 E(S1) = .04 E($2) = .06 Calculate the expected returns and expected standard deviations of a two stock portfolio when 12 = .80 and W1 = .60. Select one: O a. .144 and .0018 O b. .144 and .0002 O C. .136 and .455 d. .136 and .0045 O O e. .136 and .0455

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