Question: Current Attempt in Progress In order to measure the variance of a portfolio consisting of two or more assets we need to know each asset's

Current Attempt in Progress
In order to measure the variance of a portfolio consisting of two or more assets we need to know
each asset's correlation coefficient with the market
the covariance between each asset's return and the market return
each asset's beta
each asset's variance and associated covariance
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 Current Attempt in Progress In order to measure the variance of

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