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Calculating Expected Portfolio Returns and Portfolio Variances
Diversification with Two Assets
(7 of 20) Ch.13 - Calculation of expected return, variance, & st. dev.: example with 2 stocks
Calculating Risk and Return of a Two Asset Portfolio
How to calculate a stock's expected return, variance, and standard deviation using probabilities
Chapter 13 Examples - Portfolio Expected Return and Variance 1
(11 of 20) Ch.13 - Calculation of expected return, variance, and st. dev. for 5 two-stock portfolios
Chapter 13 Examples - Practical CAPM 1
Portfolio Return and Variance (Calculations for CFA® and FRM® Exams)
Standard Deviation and Expected Return for 2 Assets
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Last Updated: August 23, 2026
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