Can someone please advise how would i present and calculate


Can someone please advise how would I present and calculate standard deviation assuming a portfolio of equal weights for the following 2 companies:

Company 1 Standard Deviation: 7.16

Company 2 Standard Deviation: 6.26

How do I interpret the answer? What does it mean in terms of investing?

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Finance Basics: Can someone please advise how would i present and calculate
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