Multiple Choice
What is the standard deviation of a portfolio's returns if the mean return is 15%, the variance of returns is 184, and there are three stocks in the portfolio?
A) 7.83%
B) 13.56%
C) 41.00%
D) 225.00%
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q18: Industries that generally perform well when other
Q19: If the stock market return in 2014
Q21: How much is an investor's tolerance for
Q24: What percentage return is achieved by an
Q25: Most of the beneficial effects of diversification
Q27: Risk factors that are expected to affect
Q30: The variance of an investment's returns is
Q49: Averaging the deviations from the mean for
Q50: Every additional stock added to a portfolio
Q56: How is it possible for real rates