Question: Intro The return on stock 1 has a standard deviation of 34% and the return on stock 2 has a standard deviation of 18%. Their

 Intro The return on stock 1 has a standard deviation of

Intro The return on stock 1 has a standard deviation of 34% and the return on stock 2 has a standard deviation of 18%. Their correlation is -0.61. Part 1 Attempt 2/3 for 10 pts. If you invest 40% in stock 1 and 60% in stock 2. What is the variance of the portfolio? 15.1507 Try again Try again Part 2 Attempt 13 for 10 pts What is the standard deviation of the portfolio 3 decimal Submit MacBook Air # 3 $ 4 % 5 & 7 2 3 Y R. E Q H F D A . S B V X C

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