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Risk-Averters Inc. invest 2/3 of its funds in General Mills Stock and the remainder in Budweiser Beer. On past evidence, the standard deviation of the returns are 20% for General Mills and 40% for Budweiser Beer. Suppose the correlation coefficient between the two is -1.0. What is the standard deviation of the return on Risk-Averter's portfolio? Please show all work

Financial Management, Finance

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