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The yield and risk for each of the portfolios, measured with the standard deviation and -coefficient (table), the risk-free rate (rfr) is 10 %. Evaluate
The yield and risk for each of the portfolios, measured with the standard deviation and -coefficient (table), the risk-free rate (rfr) is 10 %. Evaluate the effectiveness of portfolio management and diversification.
The yield and risk for each of the portfolios, measured with the standard deviation and -coefficient (table), the risk-free rate (rfr) is 10 %. Evaluate the effectiveness of portfolio management and diversification.
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