What is the return standard deviation of a portfolio comprised of 35% in ABC Inc shares...
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What is the return standard deviation of a portfolio comprised of 35% in ABC Inc shares and 65% in XYZ Ltd shares if the return standard deviation of ABC Inc shares is 13%, the return standard deviation of XYZ Ltd shares is 16%, and the correlation between the returns is 0.2? 8.54% 11.76% 12.16% 14.95% 15.64% What is the return standard deviation of a portfolio comprised of 35% in ABC Inc shares and 65% in XYZ Ltd shares if the return standard deviation of ABC Inc shares is 13%, the return standard deviation of XYZ Ltd shares is 16%, and the correlation between the returns is 0.2? 8.54% 11.76% 12.16% 14.95% 15.64%
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