Multiple Choice
What is the standard deviation of the returns on a portfolio that is invested in stocks A, B, and C? Twenty five percent of the portfolio is invested in stock A and 40 percent is invested in stock C.
A) 6.31 percent
B) 6.49 percent
C) 7.40 percent
D) 7.83 percent
E) 8.72 percent
Correct Answer:

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Correct Answer:
Verified
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