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abdallaex abdallaex
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4 months ago
The expected return on the market is 11.5% with a standard deviation of 13% and the risk-free rate is 4%. Which of the following portfolios are undervalued?

PortfolioExpected ReturnStandard Deviation
19%7%
210%15%
315%20%
418%24%


▸ 2 and 3 only

▸ 3 and 4 only

▸ 1 and 2 only

▸ 1 and 4 only
Textbook 
Corporate Finance

Corporate Finance


Edition: 5th
Author:
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bizmailovabizmailova
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4 months ago
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abdallaex Author
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4 months ago
Smart ... Thanks!
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