(Finance)(Financial Economics) Use Excel to reproduce the graph attached, using the expected return and stan dard deviation...
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(Finance)(Financial Economics) Use Excel to reproduce the graph attached, using the expected return and standard deviation data given. In this graph the risk of the portfolio is thestandard deviationof the portfolio.
![image text in transcribed](https://s3.amazonaws.com/si.experts.images/answers/2024/06/667bf71c85b9a_220667bf71c76aef.jpg)
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