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5. The following portfolios are being considered for investment. During the period under consideration, RFR = 0.07. Portfolio Return Beta i A 0.15 1.0 0.05

5. The following portfolios are being considered for investment. During the period under consideration, RFR = 0.07. Portfolio Return Beta i A 0.15 1.0 0.05 B 0.20 1.5 0.10 C 0.10 0.6 0.03 D 0.17 1.1 0.06 Market 0.13 1.0 0.04

Rank the portfolios using each measure, explaining the cause for any differences you find in the rankings.

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