Calculate the covariance between the two securities

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Calculate the covariance between the two securities of a portfolio that has 42% in stock X(with a standard deviation of 8.2% and an expected return of 12.1%) and 58% in stock Y (with a standard deviation of 14.3% and an expected return of 15.1%). The portfolio standard deviation is 8%.

Reference no: EM132999370

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