Deviation of the portfolio of equally weighted securities

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What is the standard deviation of the portfolio of equally weighted securities listed below?

Variance of A = 493.73

Variance of B = 156.25

Variance of C = 1040.06?.

Covariance between A and B = 186.09

Covariance between A and C = 394.13

Covariance between B and C = 181.41?.

Reference no: EM131354759

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