## Question

###### OWL Question for Quiz #14: Module 7 Problems 10:45 PM Question Status Toyota has an expected...

OWL Question for Quiz #14: Module 7 Problems 10:45 PM Question Status Toyota has an expected return of 20%, and a variance of 0.011 Honda has an expected return of 19%, and a variance of 0.007 The coanance between Toyota and Honda s 0.05 Usn these data, calculate the variance of a portfolio conse ting of 50% Toyota and 50% Honda CHECK ANSWER

## Answers

Variance of Portfolio = W1

^{2}* Varianceof Toyota+W2^{2}*Variance of Honda + 2* W1*W2* Covariance= 0.5

^{2}*0.011 + 0.5^{2}*0.007 + 2*0.5*0.5*0.05 = 0.0295 or 2.95%Please Discuss in case of Doubt

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