Following is forecast for economic situation and Rachel’s portfolio returns next year, calculate the expected return, variance and standard deviation of the portfolio. (4 marks) State of economy...


Following is forecast for economic situation and Rachel’s portfolio returns next year, calculate the expected return, variance and standard deviation of the portfolio. (4 marks)



























State of economy




Probability




Rate of returns



Mild Recession



0.35



- 5%



Growth



0.45



15%



Strong Growth



0.20



30%







Jun 04, 2022
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