Create a portfolio using the two stocks and information below: Expected Return Standard Deviation Weight in Portfolio Stock A 35.00% 11.00% 78.00% Stock B 26.00% 30.00% 22.00% ---------------------- ---------------------- ---------------------- ---------------------- Correlation...

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Finance

Create a portfolio using the two stocks and informationbelow:

Expected ReturnStandard DeviationWeight in Portfolio
Stock A35.00%11.00%78.00%
Stock B26.00%30.00%22.00%
----------------------------------------------------------------------------------------
Correlation (A,B)0.8900--------------------------------------------

(Do not round intermediate calculations. Record youranswers in decimal form and round your answers to 4 decimal places.Ex. x.xxxx)


What is the variance of A?

What is the variance of B?

What is the Correlation (A,A)?

What is the Correlation (B,B)?

What is the Covariance (A,A)?

What is the Covariance (A,B)?

What is the Covariance (B,A)?

What is the Covariance (B,B)?

What is the expected return on the portfolio above?

What is the variance on the portfolio above?

What is the standard deviation on the portfolio above?

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Create a portfolio using the two stocks and informationbelow:Expected ReturnStandard DeviationWeight in PortfolioStock A35.00%11.00%78.00%Stock B26.00%30.00%22.00%----------------------------------------------------------------------------------------Correlation (A,B)0.8900--------------------------------------------(Do not round intermediate calculations. Record youranswers in decimal form and round your answers to 4 decimal places.Ex. x.xxxx)What is the variance of A?What is the variance of B?What is the Correlation (A,A)?What is the Correlation (B,B)?What is the Covariance (A,A)?What is the Covariance (A,B)?What is the Covariance (B,A)?What is the Covariance (B,B)?What is the expected return on the portfolio above?What is the variance on the portfolio above?What is the standard deviation on the portfolio above?

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