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Mathematics, 18.06.2020 15:57 paulusl19
In order to minimize its exposure, Java Ltd has been thinking about diversifying along two options shown below: i). Portfolio I: invest 40,000 cedis in shares and 60,000 cedis in bonds. ii). Portfolio II: invest 55,000 cedis in shares and 45,000 cedis in bonds. Compute the expected return and standard deviation of each portfolio if the correlation coefficient of the return of the two investments is -0.35.
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