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You have a two stock portfolio with $600 in stock A and $400 in stock B. You believe the following probability distribution exists for your
You have a two stock portfolio with $600 in stock A and $400 in stock B. You believe the following probability distribution exists for your stocks. Expected rate of return, risk, and CV of stock B are 16,7 , and 0.44 , respectively. a. What are expocted rate of return, risk, and CV of stock A ? b. Which stock has more risk and explain why you think so. c. What is portfolio expected rate of returg? d. What is pertfolio risk? e. What is ponfolio CV? f. Conpare and explain expected rate of refums/risksteoefficient of variations of Stock A, Stock B, and the portfolio
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