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The expected return of a portfolio is 0.1075 and the risk free is 0.04 The portfolio has a standard deviation of 0.36. What is

The expected return of a portfolio is 0.1075 and the risk free is 0.04 The portfolio has a standard deviation of 0.36. What is the reward to variability of this portfolio? O 0.1875 O 0.1650 O 0.1429 O 0.1797 O 0.1721

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