Question: Stocks have a 1 8 % expected return and 2 2 % risk. Bonds have a 8 % expected return and 1 0 % risk.

Stocks have a 18% expected return and 22% risk.
Bonds have a 8% expected return and 10% risk.
The expected return of a portfolio comprised of 20% stocks and 80% bonds is:
Can't tell from the information provided. You need the return correlation between stocks

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