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Use the information below to calculate the standard deviation of your portfolio to 1 decimal in percent form. Note 12.31% standard deviation should be entered

Use the information below to calculate the standard deviation of your portfolio to 1 decimal in percent form.

Note 12.31% standard deviation should be entered as "12.3"

Stock 1 Stock 2
Weights 20% The rest of it
Expected Return 3% 12%
Standard Dev. 6% 22%
Correlation between stocks 1 and 2 0.02

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