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Portfolio Expected Return Standard Deviation W 0.11 0.16 X 0.13 0.14 Y 0.10 0.12 Z 0.12 0.15 Considering the below portfolios composed of risky assets,

Portfolio

Expected Return

Standard Deviation

W

0.11

0.16

X

0.13

0.14

Y

0.10

0.12

Z

0.12

0.15

Considering the below portfolios composed of risky assets, indicate your order of choice and explain why?

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