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Suppose you bought 48000 of stock C and 80000 of Stock B. The standard deviation of returns is 59% for Stock C and 27% for
Suppose you bought 48000 of stock C and 80000 of Stock B. The standard deviation of returns is 59% for Stock C and 27% for Stock B. The two stocks returns have a correlation of 0.2. What is the standard deviation of this portfolios returns
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