You own two bonds; 25% of a 30-year bond with ? = 0.02 and 75% of a 20-year bond with
? = 0.015. The correlation coefficient is 0.82. What is the 2-week value at risk at a 95% confidence level? (Assume portfolio value = $15 million.)
A) $0
B) $234,357
C) $734,357
D) $1,734,357
D
Business
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