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Based on the graph above, calculate Standard Deviation of Portfolio A, if you have 40% invested into portfolio M and 60% into the Risk Free

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Based on the graph above, calculate Standard Deviation of Portfolio A, if you have 40% invested into portfolio M and 60% into the Risk Free Security Capital Market Line (CML) Expected Return,r, M 6.7% A 3% 9.5% Op 5.22% 4.48% 7.82% 3.8%

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