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What is the standard deviation of an efficient portfolio with a 21.1-percent expected rate of return, given that RF is 6.1 percent, ERM is 9.1
What is the standard deviation of an efficient portfolio with a 21.1-percent expected rate of return, given that RF is 6.1 percent, ERM is 9.1 percent, and M is 25.1 percent? 251.00 percent 125.50 percent 47.81 percent 115.50 percent
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