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Question 2 10 points Save Answer This table shows the stock returns for Stock A and Stock B in three different scenarios. The first column

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Question 2 10 points Save Answer This table shows the stock returns for Stock A and Stock B in three different scenarios. The first column shows how likely each of the three scenarios is. The risk-free rate is 5%. Calculate the variance for Stock A. Enter your answer in basis points and round to the nearest basis point. Return on Return on Probability Stock A Stock B 12.5% 20% 37.5% 30% 14% 50.0% -16% 16% -16%

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