Solved

Given the Following Information on Securities E and F, Calculate

Question 8

Multiple Choice

Given the following information on securities E and F, calculate the expected return and standard deviation of returns on a portfolio consisting of 40% invested in E and 60% invested in F.
Security E Security F
Expected Return 12% 5%
Standard Deviation of Returns 10% 20%
Correlation coefficient of returns -0.50


A) 13.5%;15%
B) 13.8%;14.4%
C) 13.8%;10.6%
D) 13.5%;8.7%

Correct Answer:

verifed

Verified

Unlock this answer now
Get Access to more Verified Answers free of charge

Related Questions