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Portfolio D has an annual return of 8.5% and an annual return standard deviation of 25%. Calculate the expected return over 9 years. Portfolio D

  1. Portfolio D has an annual return of 8.5% and an annual return standard deviation of 25%. Calculate the expected return over 9 years.
  2. Portfolio D has an annual return of 8.5% and an annual return standard deviation of 25%. Calculate the 9-year standard deviation.

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