Question: What is the expected return on a portfolio with the following stock weights and returns? Stock Weights Returns |A 20.3% 26.3% B 6.4% -19.7% Ic

What is the expected return on a portfolio with the following stock weights and returns? Stock Weights Returns |A 20.3% 26.3% B 6.4% -19.7% Ic 1.4% - 14.6% D 13% 54.1% E Remaining 17.8% % What is the variance of a two stock portfolio where the weights, SD are given below and the correlation coefficient is -0.372? Stock Weights 15% o (decimal form) 0.167 A B 0.223
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