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the bottom number i crossed out replace wit 30 the second bottom number i crossed out replace wit 5 3.(40 points) You have a two

the bottom number i crossed out replace wit 30 the second bottom number i crossed out replace wit 5
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3.(40 points) You have a two stock portfolio with $300 in stock A and $700 in stock You believe the following probability distribution exists for your stocks State of Probability of State Market Rate the Market Rate of Return of Stock B Porfolio 1 of Return of Stock A Occurring Economy Boom Normal 0.3 -20% 25% 05 10% 15% Recession 0.2 a Calculate expected rate of return, risk, and CV of stock A 305 Calculate portfolio expected rate of return, portfolio risk, and portfolio CV. ote: Expected rate of return, risk, and CV of stock B are 16, 7, and 0.44, respectiv

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