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QUESTION 3 What is the standard deviation of a portfolio of two stocks given the following data? Stock A has a standard deviation of 22%.

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QUESTION 3 What is the standard deviation of a portfolio of two stocks given the following data? Stock A has a standard deviation of 22%. Stock B has a standard deviation of 16%. The portfolio is equally weighted and the correlation coefficient between the two stocks is .35. 15.70% 16.00% 18.8096 22.0096

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