Expected return and standard deviation for a portfolio

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What are the expected return and standard deviation for a portfolio that has $2.000 invested in a risk-free asset with 5.25% rate of return, and $3,000 invested in a risky asset with a 2 1% rate of return and a 35% standard deviation? 0 Expected return = 17.85%; standard deviation = 23.00% 0 Expected return = 3.40%; standard deviation = 7.00% 0 Expected return = 28.00%; standard deviation = 17.35% 0 Expected return = 7.00%; standard deviation = 8.40%

Reference no: EM133001707

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