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What Is the Standard Deviation of a Portfolio That Is

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What is the standard deviation of a portfolio that is invested 68% in stock Q and 32% in stock R? What is the standard deviation of a portfolio that is invested 68% in stock Q and 32% in stock R?   A)  2.7% B)  3.0% C)  3.2% D)  4.1% E)  4.3%


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