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RISK FREE RETURN IS AT 6% AND EXPECTED RETURN OF MARKET PORTFOLIO IS 18% WITH STANDARD DEVIATION 2.5%. DRAW CML LET US TAKE HYPOTHETICAL VALUE
RISK FREE RETURN IS AT 6% AND EXPECTED RETURN OF MARKET PORTFOLIO IS 18% WITH STANDARD DEVIATION 2.5%. DRAW CML
LET US TAKE HYPOTHETICAL VALUE OF STANDARD DEVIATION PORTFOLIO AS
0, 1, 1.5, 2, 2.5, 3, 3.5 AND 4
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