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What is the expected return of the portfolio with the above two stocks? Stock 1 Stock 2 Portfolio Weights 30% 70% Expected Return 5%
What is the expected return of the portfolio with the above two stocks? Stock 1 Stock 2 Portfolio Weights 30% 70% Expected Return 5% 13% Std. Deviation .02 .1 Variance/Covariance .004 0.008 Variance/Covariance 0.008 0.01 What is the variance of the portfolio with the above two stocks?
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Understanding Basic Statistics
Authors: Charles Henry Brase, Corrinne Pellillo Brase
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