Solved

What Is the Standard Deviation of the Returns on a Portfolio

Question 102

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.
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


A) 6.31 percent
B) 6.49 percent
C) 7.40 percent
D) 7.83 percent
E) 8.72 percent

Correct Answer:

verifed

Verified

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

Related Questions