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Question 14 20 points Asset Annual Std. Dey. Annual expected retum 10% Beta 1.35 Correlation w. Mkt portfolio 30% 35% 9.5% 42% 50% 56% 1.25

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Question 14 20 points Asset Annual Std. Dey. Annual expected retum 10% Beta 1.35 Correlation w. Mkt portfolio 30% 35% 9.5% 42% 50% 56% 1.25 1.5 55% Fill in the five blanks in the table above. Show your full work, including the formulas you are using to get credit. Arial 3 (12pt) T E E Question 14 20 points Asset Annual Std. Dey. Annual expected retum 10% Beta 1.35 Correlation w. Mkt portfolio 30% 35% 9.5% 42% 50% 56% 1.25 1.5 55% Fill in the five blanks in the table above. Show your full work, including the formulas you are using to get credit. Arial 3 (12pt) T E E

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