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use excel 1. In the past five years, the market portfolio's average return was the market portfolios standard deviation was 31.0%, and the riskfree rate

use excel
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1. In the past five years, the market portfolio's average return was the market portfolios standard deviation was 31.0%, and the riskfree rate was 3.5%. During the same period, the table below lists the average return, standard deviation, beta, and non-systematic risk of six portfolios. What has been the performance of each portfolio? Which portfolio did the best

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