Question: A Moving to another question will save this response. Question 18 Correlation B, D = 0.3 What is the standard deviation of the following portfolio?
A Moving to another question will save this response. Question 18 Correlation B, D = 0.3 What is the standard deviation of the following portfolio? Security Weight Standard Growth deviation Rate B 55% 432 3 D 45% 223 2 O 0.1750 O 0.1278 0.6130 O 0.2843 None of the listed choices is correct
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