Question: If the conditions in the future are expected to be like those in the past, what is the expected portfolio return and standard deviation in

If the conditions in the future are expected to be like those in the past, what is the expected portfolio return and standard deviation in a portfolio comprised of
25% XOM and 75% MSFT?
50% XOM and 50% MSFT?
75% XOM and 25% MSFT?

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