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The expected return of a portfolio is 10.5%, and the risk-free rate is 3%. If the portfolio standard deviation is 19%, what is the reward-to-variability

The expected return of a portfolio is 10.5%, and the risk-free rate is 3%. If the portfolio standard deviation is 19%, what is the reward-to-variability ratio of the portfolio? 0.45 0.39 0.81 0.61

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