Given the returns of two stocks J and K in the table below over the next 3 years. Find the expected return and standard deviation of holding a portfolio of 40% of stock J and 60% in stock K over the next 3 years. Stock J Stock K 2017 12% 8% 2018 13% 10% 2019 15% 11%

EBK CONTEMPORARY FINANCIAL MANAGEMENT
14th Edition
ISBN:9781337514835
Author:MOYER
Publisher:MOYER
Chapter8: Analysis Of Risk And Return
Section: Chapter Questions
Problem 17P
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Given the returns of two stocks J and K in the table below over the next 3 years. Find the expected return
and standard deviation of holding a portfolio of 40% of stock J and 60% in stock K over the next 3 years.
Stock J
Stock K
2017
12%
8%
2018
13%
10%
2019
15%
11%
Transcribed Image Text:Given the returns of two stocks J and K in the table below over the next 3 years. Find the expected return and standard deviation of holding a portfolio of 40% of stock J and 60% in stock K over the next 3 years. Stock J Stock K 2017 12% 8% 2018 13% 10% 2019 15% 11%
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