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stocks are 50/50.using Risk free rate (6.75%)and risk aversion of(3.75%) determine expected return and standard deviation of ur portfolio.. Standard Deviation for stock ABC =23.87%

stocks are 50/50.using Risk free rate (6.75%)and risk aversion of(3.75%) determine expected return and standard deviation of ur portfolio..

Standard Deviation for stock ABC =23.87% and XYZ = 14.61% and mean is 6.57% and 18.63% Correlation is Abc=1.00 and XYZ = 0.3230

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