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Question 17 (1 point) The risky portfolio has an expected return of 9% per year and a standard deviation of 16% per year. If the

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Question 17 (1 point) The risky portfolio has an expected return of 9% per year and a standard deviation of 16% per year. If the risk-free interest rate is 4% per year, what is the portfolio's Sharpe ratio? 1) 0.31 2) 0.48 3) 0.38 4) 0.45 5) 0.42

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