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Question 72 estion 7 5 points Seven Stock G has a standard deviation of 34 percent per year and stock has a standard deviation of

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Question 72 estion 7 5 points Seven Stock G has a standard deviation of 34 percent per year and stock has a standard deviation of 10 percent per year. The correlation between stock and stock Hi 50. You have a portfolio of these two stocks wherein stock has a portfolio weight of 80 percent. What is your portfolio variance? 0.03806 0.03301 0.02337 0.04520 0.04123

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