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Probability stock A stock B 0 . 2 1 2 % 6 % 0 . 3 9 % 5 % 0 . 1 8 %

Probability stock A stock B
0.212%6%
0.39%5%
0.18%5%
0.24%6%
0.22%8%
What is the expected return of the minimum variance portfolio(GMV)?

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