Use the information below to calculate the standard deviation of your portfolio to 1 decimal in percent form. Note 12.31
Posted: Fri Jul 01, 2022 7:51 am
Use the information below to calculate the standard deviation of your portfolio to 1 decimal in percent form. Note 12.31% standard deviation should be entered as "12.3" Stock 1 Weights 64 % Expected Return 6% Stock 2 The rest if it 13 % Standard Dev. 9% 21 % Correlation between stocks1 and 2 0.4 15.4 11.19 margin of error +/-0.5 This one is the long equation in 3 parts.