Your portfolio contains two stocks a and b you own 187


Your portfolio contains two stocks, A and B. You own 187 shares of Stock A; its current price is $37.81, its expected return is 19.05% and its return volatility is 20.27%. You own 182 shares of Stock B; its current price is $53.96, its expected return is 23.37%, and its return volatility is 22.32%. The correlation between the returns of A and B is 0.75.

What is the expected return on your portfolio?

Express your answer as a percentage rounded to two decimal places (e.g., 11.25% not 0.1125).

Request for Solution File

Ask an Expert for Answer!!
Financial Management: Your portfolio contains two stocks a and b you own 187
Reference No:- TGS02834051

Expected delivery within 24 Hours