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. Risk Aversion 263.11 A portfolio has an expected rate of return of 23 percent and a standard deviation of 19 percent. The risk??free rate

. Risk Aversion 263.11 A portfolio has an expected rate of return of 23 percent and a standard deviation of 19 percent. The riskâ??free rate is 4 percent. An investor has a risk aversion, A, of 4 an...

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