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Over the past three years, the returns on an aggressive portfolio have been +20%, -40%, and +30%. What is closest to the total return for
Over the past three years, the returns on an aggressive portfolio have been +20%, -40%, and +30%. What is closest to the total return for the three-year period? (I know 6% is the right answer and I want to know how to get the right solution)
-6% | |
| -2% |
| 4% |
10% |
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