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You are told that the following portfolios are all on the efficient frontier: Portfolio No . Expected return Standard deviation 1 1 % 0 .
You are told that the following portfolios are all on the efficient frontier:
Portfolio No Expected return Standard deviation
Please draw the efficient frontier according to the information in the table Is it possible to get such a diagram? If not, point out all the portfolios that should not be on the efficient frontier. Explain why
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