Question: 4. Calculate the expected return, variance, and standard deviations for investments in either stock A or stock B, or an equally weighted portfolio of both.

 4. Calculate the expected return, variance, and standard deviations for investments

4. Calculate the expected return, variance, and standard deviations for investments in either stock A or stock B, or an equally weighted portfolio of both. Scenarios Probability Return on A Return on B Recession 25% 5% 9% Normal 40% 8% 4% Boom 35% 20% -4%

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