Multiple Choice
You have a portfolio which is comprised of 48% of Stock A and 52% of Stock B. What is the standard deviation of this portfolio?
A) 1.98%
B) 2.06%
C) 2.13%
D) 2.27%
E) 2.30%
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q51: To reduce risk as much as possible,
Q52: You have a portfolio which is
Q53: An investor owns a security that is
Q54: What is the variance of the
Q55: Which one of the following distinguishes a
Q57: Roger has a portfolio comprised of $8,000
Q58: As the number of individual stocks in
Q59: A portfolio consists of the following
Q60: How will the returns on two assets
Q61: You own three securities. Security A has