Question: I tate probability Return on A RETURN ON B POOR 40% -0.05 -0.09 NORMAL 35% 0.21 0.17 GOOD 25% 0.3 0.25 Weight a Weight b

I

tate

probability

Return on A

RETURN ON B

POOR

40%

-0.05

-0.09

NORMAL

35%

0.21

0.17

GOOD

25%

0.3

0.25

Weight a

Weight b

.4

.6

what is the return of stock a

what is the return of stock b

what is the standard deviation on stock a?

what is the standard deviation on stock b?

what is the coefficients of variation on stock a?

what is the return of the portfolio?

what is the covariance between a and b ?

what is the correlation

what is the standard deviation of the portfolio

please just numbers

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