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Be able to calculate: 1 The standard deviation on a two-asset portfolio 2 Be able to use the CAPM to calculate the minimum acceptable expected

  1. Be able to calculate:

1 The standard deviation on a two-asset portfolio

2 Be able to use the CAPM to calculate the minimum acceptable expected return.

3 Know how to decide if you should buy or sell and asset/portfolio when comparing its expected and required returns

4 Be able to utilize the coefficient of variation

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