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Homework answers / question archive / Compute for the expected return and standard deviation of the portfolio: Stock A: Weight 30%, Return -25% Stock B: Weight 10%, Return -10% Stock C: Weight 25%, Return 25% Stock D: Weight 35%, Return 30%

Compute for the expected return and standard deviation of the portfolio: Stock A: Weight 30%, Return -25% Stock B: Weight 10%, Return -10% Stock C: Weight 25%, Return 25% Stock D: Weight 35%, Return 30%

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Compute for the expected return and standard deviation of the portfolio:

Stock A: Weight 30%, Return -25%

Stock B: Weight 10%, Return -10%

Stock C: Weight 25%, Return 25%

Stock D: Weight 35%, Return 30%

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Expected return = 8.25%

Standard deviation = 24.51%