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Question 40 1 pts Portfolio A and B. A follows distribution N(3%, 6%^2) in the first 5 years, and N(15%, 6%^2) in the second 5

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Question 40 1 pts Portfolio A and B. A follows distribution N(3%, 6%^2) in the first 5 years, and N(15%, 6%^2) in the second 5 years B Follows distribution N(15%, 6%^2) in the first 5 years, and N(3%, 6%^2) in the second 5 years A and B both start with $1 million The investor withdraw $65k per year from each portfolio which one is true O with $65K/year withdraw, at the end of 10 years, A is expected to have more value than B O with $65K/year withdraw, at the end of 10 years, B is expected to have more value than A without withdraw, at the end of 10 years, B is expected to have more value than A o without withdraw, at the end of 10 years, A is expected to have more value than B

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