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pixiedust7891 pixiedust7891
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6 months ago
The risk-free rate is 5.25%. The expected return on the market is 12% with a standard deviation of 18%. What is the standard deviation of an efficient portfolio with a 16% expected return?

▸ 10.12%

▸ 28.67%

▸ 19.11%

▸ 7.33%
Textbook 
Corporate Finance

Corporate Finance


Edition: 5th
Author:
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prospectjayprospectjay
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6 months ago
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pixiedust7891 Author
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6 months ago
Smart ... Thanks!
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Yesterday
This helped my grade so much Perfect
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2 hours ago
Thank you, thank you, thank you!
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