Find the expected return and standard deviation of a
Find the expected return and standard deviation of a portfolio that is invested 80% in Stock A and 20% in Stock B.
States Probability of state Stock A's Return Stock B's Return
Boom 10% 30% 150%
Stagnation 90% 2% -50%
Label each and include steps
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find the expected return and standard deviation of a portfolio that is invested 80 in stock a and 20 in stock bstates
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