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johnpaech johnpaech
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7 years ago
The volatility of a portfolio that consists of a long position of $10,000 in Wal-Mart and a short position of $2000 in Microsoft is closest to:
A) 9%
B) 14%
C) 11%
D) 12%
Textbook 
Corporate Finance: The Core

Corporate Finance: The Core


Edition: 4th
Authors:
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pbrown223pbrown223
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7 years ago
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johnpaech Author
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6 years ago
This course drove me insane!
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5 years ago
this course!
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