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17. Rick's portfolio has a 3-year standard deviation of 12.2%. What is the 1-year standard deviation for Rick's portfolio? A. 21.13% B. 9.98% C. 7.04%

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17. Rick's portfolio has a 3-year standard deviation of 12.2%. What is the 1-year standard deviation for Rick's portfolio? A. 21.13% B. 9.98% C. 7.04% D. 8.38%

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