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Question 11 5 pts A portfolio is composed of two stocks. The proportion of each stock, their expected values, and standard deviations are listed: (4

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Question 11 5 pts A portfolio is composed of two stocks. The proportion of each stock, their expected values, and standard deviations are listed: (4 points) Stock NO Proportion of Portfolio 40 60 Mean 12 25 Standard Deviation 02 15 Calculate the expected value and standard deviation of the portfolio. Assume that correlation coefficient = -0.2. Show your work below. Edit Format Table

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