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    Nov 17, 2010, 09:21 PM
    Portfolio risk of two stock
    Year stock a stock b
    19*3 10 16
    19*4 16 18
    What is expected retrun on portfolio made up of 40 and 60 resp
    What is std. deviation
    What is covariance
    Determine correlatin coefficient
    N portfolio risk 40 n 60

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