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D Question 34 3 pts A portfolio generates an annual return of 15 percent, a beta of 1.50, and a standard deviation of 5 percent.

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D Question 34 3 pts A portfolio generates an annual return of 15 percent, a beta of 1.50, and a standard deviation of 5 percent. The market index return is 20 percent and it has a standard deviation of 10 percent. What is the M-square measure of the portfolio 11 the Viktree rate is 5 percent? Please report your answer in percent format

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