The correlation between the two stocks is 65 if you put 30
Stock US has a standard deviation of 15% and stock UK has a standard deviation of 20%. The correlation between the two stocks is .65. If you put 30% in stock US and 70% in stock UK, what will be the variance of the portfolio.?
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stock us has a standard deviation of 15 and stock uk has a standard deviation of 20 the correlation between the two
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