Question: i have to submit this assignment bu today can u hel me through this... Part a. Find the portfolio return and risk Part b. Find

i have to submit this assignment bu today can u hel me through this...

i have to submit this assignment bu today can u
Part a. Find the portfolio return and risk Part b. Find the portfolio return and risk when correlation between Stock A and B is 0.5, state if there are different answers from part a , study and state the reasons for that difference. Stock E(Ri) Wi Variance (o;?) Standard Deviation (a; ) A 0.12 0.40 0.0064 0.08 B 0.18 0.60 0.0100 0.10 Correlation coefficient between returns of Stocks A and B = 0.8

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