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Question 19 4.5 pts What is the VaR of a portfolio with normally distributed returns at the 5% VaR? Assume the expected return is 15%

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Question 19 4.5 pts What is the VaR of a portfolio with normally distributed returns at the 5% VaR? Assume the expected return is 15% and the variance is 0.04 0 -12.26% -8.68% 0-17.90% 06.7896 14.9296

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