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    Exam 11: Introduction to Risk, Return, and the Opportunity Cost of Capital
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    If the Standard Deviation of a Portfolio's Returns Is Known
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If the Standard Deviation of a Portfolio's Returns Is Known

Question 113

Question 113

Multiple Choice

If the standard deviation of a portfolio's returns is known to be 30%, then its variance is:


A) 5.48%.
B) 5.48% squared.
C) 900.00%.
D) 900.00% squared.

Correct Answer:

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