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You are given the following information: . Mean of a portfolio = 8.345 Standard deviation of portfolio = 3.256 Based on this information, we can

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You are given the following information: . Mean of a portfolio = 8.345 Standard deviation of portfolio = 3.256 Based on this information, we can calculate that about 68.3% of all possible returns of this portfolio should be in the range between 0.3902 and 2.5630 O None of these O 5.089 and 11.601 O 3.256 and 8.345

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