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Which of the following portfolios is MOST likely to be on the efficient frontier? O Expected Return = 12%, Standard Deviation = 12%. - Expected

Which of the following portfolios is MOST likely to be on the efficient frontier? O Expected Return = 12%, Standard Deviation = 12%. - Expected Return = 6%, Standard Deviation 12%. O Expected Return = 7%, Standard Deviation 12%. O Expected Return = 3%, Standard Deviation = 12%.
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Which of the following portfolios is MOST likely to be on the efficient frontier? Expected Return =12%, Standard Deviation =12%. Expected Return =6%, Standard Deviation =12%. Expected Return =7%, Standard Deviation =12%. Expected Return =3%, Standard Deviation =12%. Which of the following portfolios is MOST likely to be on the efficient frontier? Expected Return =12%, Standard Deviation =12%. Expected Return =6%, Standard Deviation =12%. Expected Return =7%, Standard Deviation =12%. Expected Return =3%, Standard Deviation =12%

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