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You are looking at building a portfolio of Tesla and Twitter stock. You decide to allocate 65% of your funds to Tesla and 35% to

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You are looking at building a portfolio of Tesla and Twitter stock. You decide to allocate 65% of your funds to Tesla and 35% to Twitter. You expect Tesla to return 15% and Twitter to return 10%. Both of these stocks are rather volatile and have large standard deviations of their returns, Tesla= 7% and Twitter- 6%. Also the correlation between the two stocks is.25. The expected return of your portfolio is? 13.25% 3.3156 7.34% 9.02%

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