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3. The following table presents risk and return information for 3 portfolios: Mean return on the Portfolio (%) Portfolio X Y Z 12 18
3. The following table presents risk and return information for 3 portfolios: Mean return on the Portfolio (%) Portfolio X Y Z 12 18 23 Which portfolio has the smallest coefficient of variation? Standard deviation of Portfolio return (%) 13 20 25
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Applied Regression Analysis And Other Multivariable Methods
Authors: David G. Kleinbaum, Lawrence L. Kupper, Azhar Nizam, Eli S. Rosenberg
5th Edition
1285051084, 978-1285963754, 128596375X, 978-1285051086
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