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Question Completion Status: 15 Moving to other question will save this response Question 15 Expected Return Standard Deviation A 109 30% B 20% 50% The
Question Completion Status: 15 Moving to other question will save this response Question 15 Expected Return Standard Deviation A 109 30% B 20% 50% The correlation belween the returns is 0. What is the weights for a portfolio with an expected return of 1542 Weight: 0.3.0.7 Weight: 10.4.0.6) Weight: 10.45 0.55) Weight: 10.5.0.5) Weight: 10.35 0.65 Moving to another question will save the response 5 4 5
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