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What is the standard deviation of a Portfolio of two stocks given the following data stock A has a standard deviation of 18% stock B

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What is the standard deviation of a Portfolio of two stocks given the following data stock A has a standard deviation of 18% stock B has a standard deviation of 14% The portions solution 40% of stocks A and the correlation coefficient between the two stocks is 23. 12.2% 14% 15.6% 9.7%

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