Question: PROBLEM # 3 ( 5 Marks ) - Chapter # 1 1 Calculate the Variance and Standard Deviation for the portfolio of stocks below:

PROBLEM # 3(5 Marks)- Chapter # 11
Calculate the Variance and Standard Deviation for the portfolio of stocks below:
\table[[STOCK,\table[[RATE OF],[RETURN],[(%)
 PROBLEM # 3(5 Marks)- Chapter # 11 Calculate the Variance and

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