The expected return of Flint is 19.0 percent, and the expected return of Buffalo is 24.0 percent. Their standard deviations are 13.0 percent and 21.0 percent, respectively. If a portfolio is composed of 40 percent Flint and the remainder Buffalo, calculate the expected return and the standard deviation of the portfolio, given a correlation coefficient between Flint and Buffalo of 0.35. (Round

Essentials Of Investments
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ISBN:9781260013924
Author:Bodie, Zvi, Kane, Alex, MARCUS, Alan J.
Publisher:Bodie, Zvi, Kane, Alex, MARCUS, Alan J.
Chapter1: Investments: Background And Issues
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The expected return of Flint is 19.0 percent, and the expected return of Buffalo is 24.0 percent. Their standard deviations are 13.0
percent and 21.0 percent, respectively. If a portfolio is composed of 40 percent Flint and the remainder Buffalo, calculate the expected
return and the standard deviation of the portfolio, given a correlation coefficient between Flint and Buffalo of 0.35. (Round
intermediate calculations to 4 decimal places, e.g. 31.2125 and final answers to 2 decimal places, e.g. 15.25%.)
The expected return
Standard deviation of portfolio
%
%
Calculate the standard deviation if the correlation coefficient is -0.35. (Do not round intermediate calculations. Round answer to 2 decimal
places, e.g. 15.25%.)
Standard deviation of portfolio
%
Transcribed Image Text:The expected return of Flint is 19.0 percent, and the expected return of Buffalo is 24.0 percent. Their standard deviations are 13.0 percent and 21.0 percent, respectively. If a portfolio is composed of 40 percent Flint and the remainder Buffalo, calculate the expected return and the standard deviation of the portfolio, given a correlation coefficient between Flint and Buffalo of 0.35. (Round intermediate calculations to 4 decimal places, e.g. 31.2125 and final answers to 2 decimal places, e.g. 15.25%.) The expected return Standard deviation of portfolio % % Calculate the standard deviation if the correlation coefficient is -0.35. (Do not round intermediate calculations. Round answer to 2 decimal places, e.g. 15.25%.) Standard deviation of portfolio %
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