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Please help me solve this asap.Thank you!!!!!!!info is in the photo Question 23 (3.45 points) A portfolio is composed of two stocks, A and B.

Please help me solve this asap.Thank you!!!!!!!info is in the photo

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Question 23 (3.45 points) A portfolio is composed of two stocks, A and B. Stock A has a standard deviation of return of 14%, while stock B has a standard deviation of return of 33%. The correlation coefficient between the returns on A and B is .do. Stock B comprises 70% of the portfolio. The standard deviation of the return on this portfolio is 0.3371 0.0419 0.3942 0.0648 0.2546 MacBook DD

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