Mathematics, 06.05.2020 15:59 liyahheadhigh
Calculate the standard deviation of a portfolio consisting of 20 percent Stock X and 80 percent Stock Y. The information about Stock X and Y is below. (Correlation coefficient indicate correlation between stock X and stock Y) Stock Expected Return Standard Deviation Correlation Coefficient X 10% 60% 0.6 Y 14% 40% 48.4% 40.4% 16.3% 11.6%
Answers: 2
Mathematics, 21.06.2019 15:10
Drag each sequence of transformations to the correct location on the table. classify the sequences of transformations based on whether or not they prove the congruency of the shapes by mapping shape i onto shape ii. plz i'll rate u 5 stars need this done for a mastery test
Answers: 1
Mathematics, 21.06.2019 17:00
Arley is building a model of a city map. in one part of the city, three roads form a right triangle, which harley draws as triangle abc, with the following measures: m∠b=90° and m∠a=30°. in his scale model, the hypotenuse of triangle abc, ac¯¯¯¯¯¯¯¯, has a length of 817−−√ cm. what is the value of a (the length of bc¯¯¯¯¯¯¯¯)?
Answers: 1
Mathematics, 21.06.2019 23:00
36x2 + 49y2 = 1,764 the foci are located at: (-√13, 0) and (√13,0) (0, -√13) and (0,√13) (-1, 0) and (1, 0)edit: the answer is (- the square root of 13, 0) and (the square root of 13, 0)
Answers: 1
Calculate the standard deviation of a portfolio consisting of 20 percent Stock X and 80 percent Stoc...
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