Question: Stock A Average return =18% variance = 0.25 Stock B Average return = 14% Variance = 0.1225 Co-Variance of A And B is = 0.075

Stock A Average return =18% 
variance = 0.25 
Stock B Average return = 14% 
Variance = 0.1225 
Co-Variance of A And B is = 0.075 

If You desire 16% returns from A and B, How much do you invest in A and How much do you invest in B ?


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