Compute the standard deviation of this portfolio

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An equally weighted portfolio consists of 33 assets which all have a standard deviation of 0.21. The average covariance between the assets is 0.101. Compute the standard deviation of this portfolio. Please enter your answer as a percentage to three decimal places (i.e. 12.345% rather than 0.12345 -- the percent sign is optional).

Reference no: EM13804443

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