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A risky portfolio has an expected return of 19.69% and a standard deviation of 22.79%. The risk-free rate is 3%. The investor targets a complete

A risky portfolio has an expected return of 19.69% and a standard deviation of 22.79%. The risk-free rate is 3%. The investor targets a complete portfolio with an expected return of 16%. The standard deviation of the complete portfolio is Answer %. Answers must be entered with 2 decimal places and no dollar signs , e.g. 6 as 6.00; 32.346 as 32.35.

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