Question: 11. Use the information below to calculate the expected return and standard deviation of an equally-weighted portfolio containing Stocks J and K? (10) R; =
11. Use the information below to calculate the expected return and standard deviation of an equally-weighted portfolio containing Stocks J and K? (10) R; = 10%. Rx = 15% 0; -20%. Ox - 35% fix = 0.70
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