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RISKY PORTFOLIO WITH EXPECTED RATE OF RETURN $9.00 Add to Cart

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Risky Portfolio With Expected Rate Of Return

One is problem#24,25,26 in Chapter6 in the PDF file that I uploaded. And second one ... [Show More]
is here below

You manage a risky portfolio with expected rate of return of 18% and standard deviation of 28%. The T-bill rate is 8%.
(a) Your client chooses to invest 70% of a portfolio in your fund and 30% in a T-bill money market fund. What is the expected value and standard deviation of the rate of return on his portfolio? [Show Less]

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Updated On
Dec 23rd, 2014

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Published
Dec 23rd, 2014

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