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Return for portoflio A 13% Beta of Portofolio A 0.7 Risk Free Rate 5% Market Return 14% Standard Deviation of A 10% Standard Deviation of

Return for portoflio A 13%
Beta of Portofolio A 0.7
Risk Free Rate 5%
Market Return 14%
Standard Deviation of A 10%
Standard Deviation of Market 12%
Calculate Alpha for Portfolio A
Answers:

1.70%

1.40%

2.50%

0.95%

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