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The return on the risky portfolio is 15%. The risk-free rate, as well as the investor's 2) borrowing rate, is 10%. The standard deviation of

The return on the risky portfolio is 15%. The risk-free rate, as well as the investor's 2) borrowing rate, is 10%. The standard deviation of return on the risky portfolio is 20%. If the standard deviation on the complete portfolio is 25%, the expected return on the complete portfolio is

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