Question: a) What is the expected return on the portfolio? b) What is the standard deviation of the portfolio's returns? c) What is the portfolio's Sharpe

a) What is the expected return on the portfolio?
b) What is the standard deviation of the portfolio's returns?
c) What is the portfolio's Sharpe Ratio?
A portfolio is made up of two stocks, AAA and BBB. The correlation of returns =0%, and the risk-free rate =4%
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