Question: hi please explain step by step how to solve this Question 19 what is the standard deviation for the following portfolio? The portfolio consists of

hi please explain step by step how to solve this
Question 19 what is the standard deviation for the following portfolio? The portfolio consists of 25% and 75% of stocks A and B respectively. The correlation between stock A and B is 0.4 (Round your answer to two decimal digits) EIRI 17% 13% Stocks 0.0169 0.0361 A. 15.83% B. 0.b0% C. 2.51% D. 17.00% E. 13.00% F. None of the above is correct
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