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If a portfolio had a return of 18%, the risk-free asset return was 5%, and the standard deviation of the portfolio's excess returns was 34%,

If a portfolio had a return of 18%, the risk-free asset return was 5%, and the standard deviation of the portfolio's excess returns was 34%, the risk premium would be

Correct! - 13%

18%

49%

12%

This is straight from my FIN6632 Investment Midterm so I know the answer is right. The correct is once I completed the exam.

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