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Business, 04.07.2020 21:01 ghernadez

A portfolio is formed with 50% of your money in Stock 1 and 50% of your money in stock 2. Stock 1 has a standard deviation of 0.03, and stock 2 has a standard deviation of 0.075. Which comes closest to the portfolio variance if the covariance between Stock 1 and Stock 2 is -0.005?a. -0.002 b. -0.0002
c. -0.011
d. -0.00086875
e. -0.005

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