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What is the standard deviation of the returns of a portfolio that produced returns of 21%, 3%, and 9% over the last three years? Do

What is the standard deviation of the returns of a portfolio that produced returns of 21%, 3%, and 9% over the last three years? Do not adjust for the degrees of freedom. (Answer in percent, but without the percent sign, e.g. "7.25" is 7.25%)

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