Using the table below, calculate the Standard Deviation of the portfolio: Demand for Company Products Probability of this Demand Occurring Rate of Return if this demand Occurs (k) Weak 0.15 -30% Below average 0.25 -15% Average 0.25 10% Above Average 0.20 25% Strong 0.15 45%
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Using the table below, calculate the Standard Deviation of the portfolio:
Demand for Company Products | Probability of this Demand Occurring | |
Weak | 0.15 | -30% |
Below average | 0.25 | -15% |
Average | 0.25 | 10% |
Above Average | 0.20 | 25% |
Strong | 0.15 | 45% |
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