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La desviacin estndar de una cartera de acciones que consta dedos valores riesgosos es siempre un promedio ponderado de lasdesviaciones estndar de los dos valores

La desviación estándar de una cartera de acciones que consta dedos valores riesgosos es siempre un promedio ponderado de lasdesviaciones estándar de los dos valores si y solo si lacorrelación d 1 answer

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