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You have following information: Risk free return = 12% Stock market index return = 15% Standard deviation of market = 3% You would like to

You have following information:

Risk free return = 12%

Stock market index return = 15%

Standard deviation of market = 3%

You would like to construct an efficient portfolio with 14% return.

The amount to be invested for market portfolio is Blank 1 Question 7 66.67%83.33%16.67%33.33% and the amount to be invested in government bonds is Blank 2 Question 7 66.67%83.33%16.67%33.33% .

The standard deviation of your efficient portfoliois Blank 3 Question 7 2%2.45%1.9%2.5% .

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