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What Is Bank B's Standard Deviation of Its Asset Allocation

Question 30

Multiple Choice

What is Bank B's standard deviation of its asset allocation proportions relative to the national banks average? Use the formula in the textbook.


A) 14.16 percent.
B) 33.33 percent.
C) 5.66 percent.
D) 3.00 percent.
E) 1.50 percent. [Refer to: 11-58]

Correct Answer:

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