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Question / 5 pts Given the information below, what is the standard deviation of your Rock 'n' Roll portfolio? Rock, Inc. Roll Corp 7.0% 10.0%

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Question / 5 pts Given the information below, what is the standard deviation of your Rock 'n' Roll portfolio? Rock, Inc. Roll Corp 7.0% 10.0% Expected Return Value of Investment in Portfolio Variance $22,000 $78,000 0.0144 0.0324 Standard Deviation 0.12 0.18 Coefficient of Variation 0.5833 0.5556 Covariance 0.01512 Correlation Coefficient 0.70 9.1% 16% 13% 12.8%

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