The return on the risky portfolio is 14%. The risk-free rate is 6%. The standard deviation of return on the risky portfo
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The return on the risky portfolio is 14%. The risk-free rate is 6%. The standard deviation of return on the risky portfo
The return on the risky portfolio is 14%. The risk-free rate is 6%. The standard deviation of return on the risky portfolio is 14%. If an investor invest his 40% of wealth in risky portfolio and 60% in risk-free asset, the expected return on the complete portfolio is (Round final answer to 2 decimal places) 10.25% 9.20% 6.00% 8.75%
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