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8) Sharpe Ratio of the Bond Market Now using combined portfolios: 80/20 9) Expected Return of a portfolio of: 80% Stock, 20% Bond 10) Standard

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8) Sharpe Ratio of the Bond Market Now using combined portfolios: 80/20 9) Expected Return of a portfolio of: 80% Stock, 20% Bond 10) Standard Deviation of a portfolio of: 80% Stock, 20% Bond 11) Sharpe Ratio of a portfolio of: 80% Stock. 20% Bond 50/50 12) Expected Return of a portfolio of 50% Stock, 50% Bond 13) Standard Deviation of a portfolio of: 50% Stock. 50% Bond 14 Starpe Ratio of a portfolio ot 50% Stock 50% Bond 10/90 dance 12) Expected Return of a portfolio otto Stock 90% Bond 131 Standard Destion de portfolio otto Stock 90% Bond 14) Sharpe Ratio of portfoto Stock 90% Bond 60/0/40 151 Expected Return of a part of 60% Stock, 0% Bond, 40% Treasury Bills 16) Standard Deconda porto stock. 0% Bond, 40% Treasury Bills

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