Security name expected return standard deviation


Security Name, Expected Return, Standard Deviation, Correlation (with market portfolio), Beta

A, .1165, .4, ?, .95

B, .148, ?, .35, 1.4

C, .25475, .9, .65, ?

Mkt Port, .12, .2, ?, ?

Risk-Free, .05, ?, ?, ?

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Financial Management: Security name expected return standard deviation
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