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What Is the Standard Deviation of a Portfolio Which Is

question 148

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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:

Express Terms

Express Terms are specific conditions and provisions stated explicitly within a contract or agreement.

Trade Usage

Customary practices and norms adopted by participants in a specific industry, which can play a role in interpreting contracts and determining parties' intentions.

Conflict

A serious disagreement or argument, typically a prolonged one, that can occur between people, groups, or nations.

Good Faith

Conducting oneself with sincerity, honesty, and integrity in dealings with others, especially in the execution of contracts or negotiations.

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