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Stok A'nn beklenen getirisi %13 ve standart sapmas %25'tir. Stok B, %8 getiri ve %20 standart sapma bekliyordu. ki hisse senedi arasndaki korelasyon katsays 0,37'dir.

Stok A'nn beklenen getirisi %13 ve standart sapmas %25'tir. Stok B, %8 getiri ve %20 standart sapma bekliyordu. ki hisse senedi arasndaki korelasyon katsays 0,37'dir.

%60'n A'ya ve %40'n B'ye datan portfyn beklenen getirisini bulun

Cevap: %11

Ayn portfyn standart sapmasn bulun.

Cevap: %19,44

Portfyn standart sapmasn A ve B'nin standart sapmalarnn arlkl ortalamasyla karlatrn ve neden farkl olduunu aklayn.

A ve B'nin standart sapmalarnn arlkl ortalamasn nasl bulurum?

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