There is an investment portfolio with $75,000 in Stock A and $80,000 in Stock B. Calculate the expected return and variance based on the info below.
Stock A |
Stock B |
E(Ra)= 6.5% |
E(Rb)= 9.7% |
SD(Ra) = 15% |
SD(Rb) =9.5% |
Cov(Ra,Rb ) = 25% |
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