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Exam CWM_LEVEL_2 All Questions
Exam CWM_LEVEL_2 All Questions

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AAFM Chartered Wealth Manager CWM_LEVEL_2 Question # 13 Topic 2 Discussion

CWM_LEVEL_2 Exam Topic 2 Question 13 Discussion:
Question #: 13
Topic #: 2

Section C (4 Mark)

As a CWM® you recommended Mr. Raj Malhotra to put his money in Asset A offering 15% annual return with a standard deviation of 10%, and balance funds in asset B offering a 9% annual return with a standard deviation of 8%. Assume the coefficient of correlation between the returns on assets A and B is 0.50. Calculate the expected return after 1 year and standard deviation of Mr. Raj Malhotra’s portfolio.


A.

12.60% and 0.809%


B.

11.67% and 8.75%


C.

12.60% and 8.09%


D.

8.09% and 12.60%


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