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Q 6 . Risk and Expected Return of a 3 Asset Portfolio. Based on the following information regarding Stock Uno, Stock Dos and Stock Tres,
Q Risk and Expected Return of a Asset Portfolio. Based on the following information regarding Stock Uno, Stock Dos and Stock Tres,
Calculate the expected return and standard deviation for the threeasset portfolio assuming the portfolio consists of the following weights:
a of Uno, of Dos, and Tres meaning equal amounts of each stock in the portfolio
b Uno, Dos and Tres
c Uno, Dos, Tres
In which portfolio would you choose to invest? Which portfolio would you consider the least desirable portfolio of the portfolios? Include a few
sentences explaining your responses to both.
Please use excel and add formulas!
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