Question: Answer the following two questions based on the table below. Security Dunder Mifflin Co. The Buy More Company. EC) 13.3% 17.6% Standard deviation 20.1% 33.5%

 Answer the following two questions based on the table below. Security
Dunder Mifflin Co. The Buy More Company. EC) 13.3% 17.6% Standard deviation
20.1% 33.5% Weights .70 .30 Correlation Coefficient .80 D Question 19 What

Answer the following two questions based on the table below. Security Dunder Mifflin Co. The Buy More Company. EC) 13.3% 17.6% Standard deviation 20.1% 33.5% Weights .70 .30 Correlation Coefficient .80 D Question 19 What is the portfolio's expected return? O 12.66% O 14.59% O 10.38% O 17.24% What is the standard deviation of the following two-asset portfolio O 0.241 O 0.052 O 0.229 O 0.249

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