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Portfolio D has an annual return of 7 . 8 0 % and an annual return standard deviation of 2 2 . 2 2 %

Portfolio D has an annual return of
7.80% and an annual return
standard deviation of 22.22%.
Calculate the loss level that can be
expected over a 9-year investment
horizon with a probability of 5%.
The z-value for 5% is 1.64485.

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