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11 11. Standard Deviation Beta Portfolio Average Annual Rate of Return 0.5 1096 R 1196 1.0 1296 S&P500 149 When plotting portfolio R on the

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11. Standard Deviation Beta Portfolio Average Annual Rate of Return 0.5 1096 R 1196 1.0 1296 S&P500 149 When plotting portfolio R on the SML, portfolio R lies On the SML 2 Below the SML Above the SML Insufficient data given

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