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The standard deviation of Stock A and B are 15% and 25% respectively. The correlation coefficient between the two stocks is 0.5. Find out the

The standard deviation of Stock A and B are 15% and 25% respectively. The correlation coefficient between the two stocks is 0.5. Find out the standard deviation of the portfolio with 40% invested in Stock A and 60% invested in Stock B. Group of answer choices

25%

10.5%

21%

18.74%

15%

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