Create a portfolio using the four stocks and information
below:
((((please please make sure the answers are correct
please))))
Expected Return
Standard Deviation
Weight in Portfolio
Stock A
21.00%
21.00%
15.00%
Stock B
5.00%
17.00%
28.00%
Stock C
7.00%
12.00%
11.00%
Stock D
22.00%
22.00%
46.00%
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Correlation (A,B)
0.7000
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Correlation (A,C)
0.4900
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Correlation (A,D)
0.2500
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Correlation (B,C)
0.4400
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Correlation (B,D)
0.9600
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----------------------
Correlation (C,D)
0.2000
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----------------------...