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The correlation between Stock B and Stock C is 0.896. What is the expected standard deviation of a portfolio formed of 40% of Stock B

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The correlation between Stock B and Stock C is 0.896. What is the expected standard deviation of a portfolio formed of 40% of Stock B and 60% of Stock C? Provide your answer rounded to two decimal points, but do not enter a percent symbol (\%). If your answer is 5.65% enter 5.65. The correlation between Stock B and Stock C is 0.896. What is the expected standard deviation of a portfolio formed of 40% of Stock B and 60% of Stock C? Provide your answer rounded to two decimal points, but do not enter a percent symbol (\%). If your answer is 5.65% enter 5.65

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