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A portfolio has a 3-year standard deviation of 18.1 percent. What is the one-year standard deviation? Select one: a. 6.39 percent b. 8.69 percent c.

A portfolio has a 3-year standard deviation of 18.1 percent. What is the one-year standard deviation?

Select one:

a. 6.39 percent

b. 8.69 percent

c. 10.45 percent

d. 11.80 percent

e. 12.33 percent

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