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The next question relates to the following table of information: stock x stocky expected return 14% 16% standard deviation 60% 40% beta 1.20 1.60 correlation
The next question relates to the following table of information: stock x stocky expected return 14% 16% standard deviation 60% 40% beta 1.20 1.60 correlation (x,y) = 0.25 what is the percent invested in stock y to yield the minimum variance portfolio with Stock X and Stock Y
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