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Si una cartera tuviera un rendimiento del 18%, el rendimiento del activo libre de riesgo fuera del 5% y la desviacin estndar del exceso de

Si una cartera tuviera un rendimiento del 18%, el rendimiento del activo libre de riesgo fuera del 5% y la desviacin estndar del exceso de rendimiento de la cartera fuera del 34%, la prima de riesgo sera

Correcto! - 13%

18%

49%

12%

Esto proviene directamente de mi inversin intermedia FIN6632, por lo que s que la respuesta es correcta. Lo correcto es una vez que complet el examen.

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