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What Is the Standard Deviation of a Portfolio Which Is

question 90

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What is the standard deviation of a portfolio which is invested 20% in stock A, 30% in stock B and 50% in stock C? What is the standard deviation of a portfolio which is invested 20% in stock A, 30% in stock B and 50% in stock C?   A)  0.6% B)  0.9% C)  1.8% D)  2.2% E)  4.9%


Definitions:

Comparative Inferences

The process of deducing conclusions by examining the similarities or differences between two or more objects, scenarios, or datasets.

Comprehensiveness

Refers to the quality of including all or nearly all elements or aspects of something.

Comparative Reasoning

Evaluating two or more objects, ideas, or situations to identify similarities and differences.

Comparative Inferences

The process of drawing conclusions based on comparisons between different sets of data or situations.

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