Gestion 2 Stock X has a standard deviation of return of 10%. Stock V has a standard deviation of return of 20%. The corr

Business, Finance, Economics, Accounting, Operations Management, Computer Science, Electrical Engineering, Mechanical Engineering, Civil Engineering, Chemical Engineering, Algebra, Precalculus, Statistics and Probabilty, Advanced Math, Physics, Chemistry, Biology, Nursing, Psychology, Certifications, Tests, Prep, and more.
Post Reply
answerhappygod
Site Admin
Posts: 899603
Joined: Mon Aug 02, 2021 8:13 am

Gestion 2 Stock X has a standard deviation of return of 10%. Stock V has a standard deviation of return of 20%. The corr

Post by answerhappygod »

Gestion 2 Stock X Has A Standard Deviation Of Return Of 10 Stock V Has A Standard Deviation Of Return Of 20 The Corr 1
Gestion 2 Stock X Has A Standard Deviation Of Return Of 10 Stock V Has A Standard Deviation Of Return Of 20 The Corr 1 (17.26 KiB) Viewed 22 times
Gestion 2 Stock X has a standard deviation of return of 10%. Stock V has a standard deviation of return of 20%. The correlation coufficient between the stocks 10,5. If you invest 60% of the funds in stock X and 40% in stock Y. What is the standard deviation of your portfolio wed Mand out of 333 PF Select one: O a 20% b. 10% OG 12.2% od 14%
Join a community of subject matter experts. Register for FREE to view solutions, replies, and use search function. Request answer by replying!
Post Reply