What is the expected return on a portfolio which is
What is the expected return on a portfolio which is invested 20% in stock A, 50% in stock B, and 30% in stock C? the expected returns on A, B and C are 25%, 20% and 8%.
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a stock had returns of 6 -2 4 and 16 over the past four years what is the standard deviation of this stock for the past
what is the expected return on a portfolio which is invested 20 in stock a 50 in stock b and 30 in stock c the expected
the risk-free rate of return is 4 and the market risk premium is 8 what is the expected rate of return on a stock with
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an insurance companys projected loss ratio is 775 percent and its loss adjustment expense ratio is 129 percent it
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