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Assuming you are a risk-averse investor, who takes into account both risk and return. Which of the following portfolio would you choose? Return Portfolio 1
Assuming you are a risk-averse investor, who takes into account both risk and return. Which of the following portfolio would you choose?
Return Portfolio 1 | Return Portfolio 2 | Return Portfolio 3 | Return Portfolio 4 | |
Mean | 57,90 | 48,90 | 76,90 | 83,90 |
StDev | 13,10 | 11,70 | 15,40 | 21,50 |
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