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You have the following rates of return for a risky portfolio for several recent years: 2016 31.23% 2017 19.67% 2018 -8.37% 2019 22.65% a) what

You have the following rates of return for a risky portfolio for several recent years:
2016 31.23%
2017 19.67%
2018 -8.37%
2019 22.65%
a) what was rhe average, or mean return over the period?
b) what was the standard deviatin of retirn over the sample period?

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