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What are the expected return, risk premium. standard deviation, and ratio of risk premium to standard deviation for a complete portfolio with y=0.6. Assume rf=2%
What are the expected return, risk premium. standard deviation, and ratio of risk premium to standard deviation for a complete portfolio with y=0.6. Assume rf=2% and rp=6% with standard deviation =20.5% ? Please show your work. Edit View Insert
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