What is the standard deviation of the portfolio of the two
Suppose that you invest 50% of your available funds in stock D that has a standard deviation of 16% and 50% in a riskless asset. What is the standard deviation of the portfolio of the two assets.
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question consider again the scenario of suppose that instead of ranges and averages sample standard deviations and
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suppose that you invest 50 of your available funds in stock d that has a standard deviation of 16 and 50 in a riskless
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