Outcome Probability .10 .20 UAWN Stock W +2% +18% +9% -12% +8% Stock X +25%...
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Outcome Probability .10 .20 UAWN Stock W +2% +18% +9% -12% +8% Stock X +25% +10% +14% +3% -10% .10 a. What is the expected return for each stock? b. What is the standard deviation for each stock? c. What is the correlation between the stocks? d. If you hold a portfolio of the stocks that is weighted 60% W, and 40% X, what is the expected return and standard deviation for the portfolio? e. Assume that Stock X is actually the Market Portfolio. Calculate the Beta for Stock W
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