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. a. You are given the following information in the table below for security A, B and C. The market portfolio has a standard deviation

. a. You are given the following information in the table below for security A, B and C. The market portfolio has a standard deviation of return at 18%. Security i Bi E(R) A 0.9 6% 22% B 0.6 7% 8.5%...

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