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What Is the Standard Deviation of a Portfolio Which Is

question 62

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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%


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Social Class

A division of society based on social and economic status, influencing individuals' lifestyles, attitudes, and behaviors.

Consumer Behaviour

The study of how individual consumers, groups, or organizations select, buy, use, and dispose of goods, services, ideas, or experiences.

Middle East

A geopolitical region centered on Western Asia and Egypt, known for its historical, cultural, and political significance.

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involves making unfair or harmful comparisons or discriminations between people or groups.

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