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What is the standard deviation of a portfolio's returns if the mean return is 15%, and the variance of returns is 184? A. 7.83% B.

What is the standard deviation of a portfolio's returns if the mean return is 15%, and the variance of returns is 184?
A. 7.83%
B. 41.00%
C. 225.00%
D. 13.56%

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