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You invest 66% of your money in Stock A and the rest in Stock B. The variance of annual returns is 21% for Stock A

You invest 66% of your money in Stock A and the rest in Stock B. The variance of annual returns is 21% for Stock A and 36% for Stock B. The correlation between the two stocks is 0.4. What is the standard deviation of annual returns for the combination of the two stocks

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