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Weighted Average Portfolio Stock A Stock B Stock C Weight 39% 19% 42% E(R) 12% 18% 3% You own a portfolio that is invested 39%

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Weighted Average Portfolio Stock A Stock B Stock C Weight 39% 19% 42% E(R) 12% 18% 3% You own a portfolio that is invested 39% in Stock A, 19% in Stock B, and the remainder in Stock C. The expected returns on stocks A, B, and C are 12%, 18%, and 3%, respectively. What is the expected return on the portfolio? A/ What is the standard deviation of the portfolio? A/ What is the variance of the portfolio (show 4 decimals to the right of zero in your answer)? A

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