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Question 8 1 pts Consider Portfolio B in Problem 8, assuming that the rates of return of the portfolio are normally distributed, what is the
Question 8 1 pts Consider Portfolio B in Problem 8, assuming that the rates of return of the portfolio are normally distributed, what is the probability that the return on Portfolio B will be less than the shortfall level 3% (Use the Standard Normal Cumulative Probability Table)? 0.2578 0.2869 0.2266 0.1824 Previous Next Question 8 1 pts Consider Portfolio B in Problem 8, assuming that the rates of return of the portfolio are normally distributed, what is the probability that the return on Portfolio B will be less than the shortfall level 3% (Use the Standard Normal Cumulative Probability Table)? 0.2578 0.2869 0.2266 0.1824 Previous Next
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