Year__________ Company A_

Year__________ Company A_

Year__________ Company A_______________ Company B1________________ 12.6_____________________ 8.32 ________________18.7_____________________ -23.53________________ 11.3_____________________ -2.24 _________________-9.8_____________________ 24.95_________________ 2.4______________________ 11.8mean______________ ?_________________________ ?std.dev._________ 11.0695 ___________________18.1020a) Find the missing values for Company A and Company B stock.b) If you kept the stock two years in your portfolio with 75% in Company A and 25% in Company B what was your return and risk of the portfolio combination?

%d bloggers like this: