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Return for portoflio A 10% Beta of Portofolio A 0.8 Risk Free Rate 4% Market Return 12% Standard Deviation of A 9% Standard Deviation of
Return for portoflio A | 10% | ||||||||||||||
Beta of Portofolio A | 0.8 | ||||||||||||||
Risk Free Rate | 4% | ||||||||||||||
Market Return | 12% | ||||||||||||||
Standard Deviation of A | 9% | ||||||||||||||
Standard Deviation of Market | 14% | ||||||||||||||
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