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A portfolio's return was 15% and the standard deviation was 20%. The market return was 5% and the standard deviation was 10%. The risk-free rate

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A portfolio's return was 15% and the standard deviation was 20%. The market return was 5% and the standard deviation was 10%. The risk-free rate was 3%. What is the M2 ? 4% 3% 2% 5%

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