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Calculate the Expected Return, Variance, and Standard Deviation for the Following

Question 108

Essay

Calculate the expected return, variance, and standard deviation for the following portfolio of four stocks:
 Stock 1 16.4% retum  Stock 2 9.2% retum  Stock 3 7.9% retum  Stock 4 22.0% retum \begin{array} { | c | c | } \hline \text { Stock 1 } & 16.4 \% \text { retum } \\\hline \text { Stock 2 } & - 9.2 \% \text { retum } \\\hline \text { Stock 3 } & 7.9 \% \text { retum } \\\hline \text { Stock 4 } & 22.0 \% \text { retum } \\\hline\end{array}

Correct Answer:

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Expected return = blured image = 9.28%
Var...

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