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question 1 part a - standard deviation of the portfolio with stock A is %. question 1 part b -Standard deviation of the portfolio with
question 1 part a - standard deviation of the portfolio with
stock A is %.
question 1 part b -Standard deviation of the portfolio with
stock B is %.
question 1 part c- Which stock should you add and why?
A. Add A because the portfolio is less risky when A is
added.
B. Add B because the portfolio is less risky when B is
added.
C. Add either one because both portfolios are equally risky
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