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Portfolio Ahas a return of 1.57 and a Standard Deviation of 487 Portfolio B has a return of 1.92 and a Standard Deviation of 7.64%.

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Portfolio Ahas a return of 1.57 and a Standard Deviation of 487 Portfolio B has a return of 1.92 and a Standard Deviation of 7.64%. Risk free rate B04 Portfolio Bis superior to Portfolio A because has a higher return True False

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