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The risk-free rate, average returns, standard deviations, and betas for three funds and the S&P 500 are given below. Fund B C S&P 500 Avg

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The risk-free rate, average returns, standard deviations, and betas for three funds and the S&P 500 are given below. Fund B C S&P 500 Avg Std Dev 11.00% 28.00% 13.00% 24.50% 16.50% 31.50% 10.00% 18.00% 3.00% Beta 1.20 1.25 1.45 1.00 What is the M2 measure for portfolio B? O 1.02% O 35% -65% O 1.90%

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