Question: Calculate the Portfolio Expected return, Variance and Standard Deviation Returns State of economy Stock A Stock B Stock C Portfolio Probability of state .40 Boom
Calculate the Portfolio Expected return, Variance and Standard Deviation

Returns State of economy Stock A Stock B Stock C Portfolio Probability of state .40 Boom 10% 15% 20% 13.75% Bust .60 8% 4% 0% 5.00%
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