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Business, 12.08.2020 04:01 faith1993

Which of the following is most correct concerning the standard deviation of a 2-stock portfolio? Group of answer choices It can be greater than the weighted average of the two stocks’ standard deviations. It is a simple average of the two stocks’ standard deviations. The larger the two stock’s return correlation, the bigger the portfolio’s standard deviation. It must be equal to the weighted average of the two stocks’ standard deviations.

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Which of the following is most correct concerning the standard deviation of a 2-stock portfolio? Gro...
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