priushunter22071 priushunter22071
  • 14-03-2024
  • Business
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You manage a risky portfolio with an expected rate of return of 13% and a standard deviation of 30%. The T-bill rate is 4%. Stock A 45% Stock B 35% Stock C 20% Suppose that your client decides to inve
a) 13%
b) 30%
c) 4%
d) 45%

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