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Question 30 3.34 pts What is the standard deviation of the portfolio that contains 4596 in stock, ECONOMY CHANCE STOCKBOND Recession 1/5 -14% 6.5% Normal

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Question 30 3.34 pts What is the standard deviation of the portfolio that contains 4596 in stock, ECONOMY CHANCE STOCKBOND Recession 1/5 -14% 6.5% Normal 1/2 8.00% 4.596 Semi-Storg 15 10% 39 Stong 1/10 1494 19 O 5.3656 495% O 5.11% 04479 U Question 7 3.34 pts The market's risk premiun is: over and above the the risk free rate expected market return times beta O market risk premium minus the risk free rate risk free rate times the market beta

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