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Mathematics, 17.10.2020 20:01 tiadenae22ovtxdr

Suppose you have some money to investfor simplicity, $1and you are planning to put a fraction w into a stock market mutual fund and the rest, , into a bond mutual fund. Suppose that $1 invested in a stock fund yields after 1 year and that $1 invested in a bond fund yields , suppose that is random with mean 0.07(%) and standard deviation , and suppose that is random with mean (%) and standard deviation . The correlation between and is . If you place a fraction w of your money in the stock fund and the rest, , in the bond fund, then the return on your investment is .

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