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    Principles of Corporate Finance
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    Exam 7: Introduction to Risk and Return
  5. Question
    Which Portfolio Had the Highest Standard Deviation During the Period
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Which Portfolio Had the Highest Standard Deviation During the Period

Question 42

Question 42

Multiple Choice

Which portfolio had the highest standard deviation during the period between 1900 and 2011?


A) Common stocks
B) Government bonds
C) Treasury bills
D) None of the answers

Correct Answer:

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