Question: the expected return, the The --- the risk. higher; higher .a O lower; higher .b O more stable; higher .CO higher, lower .do Asset 2

 the expected return, the The --- the risk. higher; higher .a
O lower; higher .b O more stable; higher .CO higher, lower .do

the expected return, the The --- the risk. higher; higher .a O lower; higher .b O more stable; higher .CO higher, lower .do Asset 2 Asset 1 0.045 0.1 Expected return 0.18 0.14 Standard deviation if correlation is 0.65 weight 1 = 40% weight 2 = 60% what is the covariance what is the return of the portfolio what is the standard deviation of the portfolio

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