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What is the variance of a portfolio composed of 70 percent Batman and 30 percent Superman?

01 / 10 / 2021 Research Papers

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Finance Help 1 answer below » Batman Stock has exhibited a standard deviation in stock returns of 0.5, whereas
Superman Stock has exhibited a standard deviation of 0.6. The correlation coefficient between the stock returns is 0.5. What is the variance of a portfolio
composed of 70 percent Batman and 30 percent Superman? A 0.1549 B 0.2179 C 0.4668 D 0.5500 Jan 18 2014 03:35 AM



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