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Portfolio D has a standard deviation of 17% and a correlation with the market of 1.00. If the standard deviation of the market is 15%,

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Portfolio D has a standard deviation of 17% and a correlation with the market of 1.00. If the standard deviation of the market is 15%, what is the beta for D? O a 1.00 O b. 1.13 O c. 1.24 O d. Not enough information to determine

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