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An Investor Owns a Portfolio Consisting of Two Mutual Funds

Question 134

Multiple Choice

An investor owns a portfolio consisting of two mutual funds, A and B, with 35% invested in A. The following table lists the inputs for these funds. An investor owns a portfolio consisting of two mutual funds, A and B, with 35% invested in A. The following table lists the inputs for these funds.   The standard deviation for the portfolio return is ________. A)  5.74% B)  7.54% C)  6.57% D)  3.74% The standard deviation for the portfolio return is ________.


A) 5.74%
B) 7.54%
C) 6.57%
D) 3.74%

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