Question 14 The standard deviation of Netflix is 31%. That of Robinhood is 19%. The covariance...
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Question 14 The standard deviation of Netflix is 31%. That of Robinhood is 19%. The covariance between the two is 0.378. What is the standard deviation of a portfolio invested one-fourth in Netflix and three-fourth in Robin Hood? [Enter your answer in percentage points, rounded to two decimal places. For example, if your answer is 0.1002, enter "10.02"] Question 14 The standard deviation of Netflix is 31%. That of Robinhood is 19%. The covariance between the two is 0.378. What is the standard deviation of a portfolio invested one-fourth in Netflix and three-fourth in Robin Hood? [Enter your answer in percentage points, rounded to two decimal places. For example, if your answer is 0.1002, enter "10.02"]
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