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An investor is choosing among three assets. Asset ( A ) has an expected return of 5.5 and a standard deviation of 6.5, Asset (
An investor is choosing among three assets. Asset \\( A \\) has an expected return of \5.5 and a standard deviation of \6.5, Asset \\( B \\) has an expected return of \6.5 and a standard deviation of \7.5, and Asset \\( C \\) with an expected return of \7.5 and a standard deviation of \8.5. Which one should the investor prefer? Asset B not enough information to decide Asset A Asset C
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