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Business, 30.03.2020 21:01 morganruhl2

The correlation coefficient between the two markets is 0.20. Note that the U. K. stock market has lower returns, but lower risk. Suppose that you invest half of your money in each market. What is your expected return and standard deviation

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The correlation coefficient between the two markets is 0.20. Note that the U. K. stock market has lo...
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