Multiple Choice
You have a portfolio which is comprised of 72 percent of stock A and 28 percent of stock B.What is the variance of this portfolio?
A) 190.9
B) 203.8
C) 268.1
D) 290.9
E) 306.9
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q2: What is the extra compensation paid to
Q17: You own a stock that will produce
Q25: Tall Stand Timber stock has an expected
Q27: Which one of the following statements is
Q46: The division of a portfolio's dollars among
Q50: Rosita owns a stock with an overall
Q77: What is the expected return on this
Q78: What is the variance of the expected
Q81: There is a 30 percent probability that
Q83: What is the variance of the expected