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What Is the Standard Deviation for a Portfolio That Has

Question 70

Multiple Choice

What is the standard deviation for a portfolio that has $3,500 invested in a risk-free asset with 5% rate of return, and $6,500 invested in a risky asset with a 15% rate of return and a 22% standard deviation?


A) 7.70%
B) 9.75%
C) 5.25%
D) 14.30%

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