Question: - if you are investor where below data investment was available: Expected return year Asset A Asset B Asset a 2021 12% 14% 8% 2022

- if you are investor where below data investment was available: Expected return year Asset A Asset B Asset a 2021 12% 14% 8% 2022 14% 21% 11% 2023 16% 28% 14% No probabilities have been supplied , you have been told that you create two portfolios One consisting of assets A and B, where the other consisting of assets A and C, by investing equal proportion 50% in each of the two component assets ? Find out the standard deviation for the asset Bis
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