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PUU You are evaluating a diversified equity portfolio. The portfolio's mean annual return is 12%, and its standard deviation is 24% Assuming that the rate

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PUU You are evaluating a diversified equity portfolio. The portfolio's mean annual return is 12%, and its standard deviation is 24% Assuming that the rate of return of the portfolio is normally distributed. What is the 95% confidence interval for the annual return on this portfolio? (-0.3504, 0.5904 10.12.0.361 1-0.276,05161 1-0.4992.0.7392) Next Not saved Submit ou

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