Question: Please answer the question. In the previous problem, what is the standard deviation of the portfolio's return? Please enter your answer using decimal notation. i.e.

Please answer the question.

Please answer the question. In the previous problem, what is the standarddeviation of the portfolio's return? Please enter your answer using decimal notation.

In the previous problem, what is the standard deviation of the portfolio's return? Please enter your answer using decimal notation. i.e. not as a percentage. For example. a standard deviation of 15.8% should be entered as 0.158. Consider the following information on three stocks: State of Probability of state of Returns of Stock Returns of Stock Returns of Stock economy economy A B C 3....-. 3......) m A portfolio is invested 35 percent each in Stock A and Stock B and 30 percent in Stock C. What is the expected return on the portfolio? Please enter your answer using decimal notation. i.e. not as a percentage return. For example, an expected return of 21.5% should be entered as 0.215

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