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Portfolio of Stock A and B Stock A Stock b Expected Rate of return 10% Expected Rate of return 14% Standard Deviation 7% Standard Deviation

Portfolio of Stock A and B Stock A Stock b Expected Rate of return 10% Expected Rate of return 14% Standard Deviation 7% Standard Deviation 8% Weight 0.3 Weight 0.7 COV ab=0.0013 What is the standard deviation of the portfolio above? O a. 4.84% O b. 5.94% O c. 6.34% O d. 7.54%
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Portfolio of Stock A and B What is the standard deviation of the portfolio above? a. 4.84% b. 5.94% c. 6.34% d. 7.54%

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