The EQT Equity Fund has an expected return E[r] of 10.380% and a standard deviation σ of 18%. The BND Bond Fund has and expected return E[r] of 6.290% and a standard deviation σ of 9%. The correlation coefficient (ρ) is 0.97. A portfolio comprised of 46% EQT and 54% BND would have
an expected return of %
and a standard deviation of %
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