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What is the standard deviation and mean returns for an equal weighted portfolio that consists stocks XYZ(equally weighted). Use the data given below. 3. Mean

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What is the standard deviation and mean returns for an equal weighted portfolio that consists stocks XYZ(equally weighted). Use the data given below. 3. Mean StocksReturn Variance of Return 2.25 36 4 6 Correlations X and YXand Z Z and Y 0.5 0.2 ?9.9

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