Peachfarie6112 Peachfarie6112
  • 15-04-2024
  • Mathematics
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Suppose that in Problem 5.16 you wanted to create a portfolio that consists of the corporate bond fund and the common stock fund.
Compute the portfolio expected return and portfolio risk for each of the following situations:
a. $300 in the corporate bond fund and $700 in the common stock fund.

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