Question: Expected return, E(R) Standard deviation, o Correlation 3 Doors, Inc. 11% 44 Down Co. 9% 28 0.2 Using the information provided on the two stocks

 Expected return, E(R) Standard deviation, o Correlation 3 Doors, Inc. 11%

Expected return, E(R) Standard deviation, o Correlation 3 Doors, Inc. 11% 44 Down Co. 9% 28 0.2 Using the information provided on the two stocks in the table above, find the expected return on the minimum variance portfolio. (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places.)

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