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What Is the Standard Deviation of the Returns on a Portfolio

Question 77

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What is the standard deviation of the returns on a portfolio that is invested 52 percent in stock Q and 48 percent in stock R? What is the standard deviation of the returns on a portfolio that is invested 52 percent in stock Q and 48 percent in stock R?   A) 1.66 percent B) 2.47 percent C) 2.63 percent D) 3.28 percent E) 3.41 percent


A) 1.66 percent
B) 2.47 percent
C) 2.63 percent
D) 3.28 percent
E) 3.41 percent

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