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A portfolio has an expected return E(x) of 0.18 and a standard deviation of 0.24 A portfolio has an expected return E(x) of 0.18 and

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A portfolio has an expected return E(x) of 0.18 and a standard deviation of 0.24

A portfolio has an expected return E(x) of 0.18 and a standard deviation of 0.24. The risk-free rate is 0.02, Compute the Sharpe ratio of the portfolio. 1

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