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The one-year standard deviation of your portfolio is 15.6 percent. What is the three-year standard deviation? 22.20 percent 25.23 percent 27.02 percent 28.74 percent 32.40

The one-year standard deviation of your portfolio is 15.6 percent. What is the three-year standard deviation?

22.20 percent

25.23 percent

27.02 percent

28.74 percent

32.40 percent

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