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    What Is the Standard Deviation of a Portfolio's Returns If
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What Is the Standard Deviation of a Portfolio's Returns If

Question 72

Question 72

Multiple Choice

What is the standard deviation of a portfolio's returns if the mean return is 15 percent, the variance of returns is 184 percent, and there are three stocks in the portfolio?


A) 7.83 percent
B) 13.56 percent
C) 41.00 percent
D) 225.00 percent

Correct Answer:

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