题海让大学四年没有难题
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题目详情

单选题 An analyst gathers the following information about a portfolio:Portfolio WeightStandard DeviationAsset 125%12%Asset 275%16%If the correlation coefficient between the two assets is 0.75, the standard deviation of the portfolio is closest to

A. 12.37%

B. 14.39%

C. 15.00%

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时间:2026-03-05 03:47:00

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