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Memphic Memphic
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6 years ago
The standard deviation for the return on an portfolio of 20 type I firms is closest to:
A) 5.25%
B) 5.10%
C) 15.0%
D) 23.0%
Textbook 
Corporate Finance: The Core

Corporate Finance: The Core


Edition: 4th
Authors:
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anicidanicid
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6 years ago
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2 years ago
Thank you got my answer
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