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the market portfolio has an expected return of 10% and standard deviation of returns of 15%. The riskless interest rate is 4%. What is the
the market portfolio has an expected return of 10% and standard deviation of returns of 15%. The riskless interest rate is 4%. What is the maximum standard deviation an investor accept in order to earn an expected return of 16%?
a) 15%
b)20%
c)25%
d) 30%
e) none
please show me full workings with explanation
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