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Refer to the table below. 3 Doors, Inc. Down Co. Expected return, E ( R ) 15 % 8.5 % Standard deviation, 30 18 Correlation

Refer to the table below.

3 Doors, Inc. Down Co.
Expected return, E (R) 15 % 8.5 %
Standard deviation, 30 18
Correlation .39

Using the information provided on the two stocks in the table above, find the expected return and standard deviation on the minimum variance portfolio. (Round your answer to 2 decimal places. Omit the "%" sign in your response.)

Expected return %
Standard deviation %

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