Question: Find the arithmetic average, variance and standard deviation for X and Y. What would the expected return be for a portfolio that consists of 35%

Find the arithmetic average, variance and standard deviation for X and Y. What would the expected return be for a portfolio that consists of 35% in X and 65% in Y? Yr Rx Ry 1 9% 18% 2 -5% 9% 3 18% -2%

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