Question: please fast tate probability Return RETURN ON B on A POOR 40% -0.06 -0.09 NORMAL 35% 0.21 0.17 GOOD 25% 0.3 0.25 Weight a Weight

tate probability Return RETURN ON B on A POOR 40% -0.06 -0.09 NORMAL 35% 0.21 0.17 GOOD 25% 0.3 0.25 Weight a Weight b .6 4 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
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