Expected return and standard deviation of asset A is 0.20 and 0.20, rf = 0.10 and...
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Expected return and standard deviation of asset A is 0.20 and 0.20, rf = 0.10 and 80% of portfolio X is invested in asset A. Q3.1 1 Point What is the expected return of the portfolio X? Enter your answer in a decimal form, rounded to two digits. Enter your answer here Q3.2 1 Point What is the standard deviation of the portfolio X? Enter your answer in a decimal form, rounded to two digits. Enter your answer here Q3.3 1 Point What is the slope of the budget constraint? Enter your answer in a decimal form, rounded to two digits. Expected return and standard deviation of asset A is 0.20 and 0.20, rf = 0.10 and 80% of portfolio X is invested in asset A. Q3.1 1 Point What is the expected return of the portfolio X? Enter your answer in a decimal form, rounded to two digits. Enter your answer here Q3.2 1 Point What is the standard deviation of the portfolio X? Enter your answer in a decimal form, rounded to two digits. Enter your answer here Q3.3 1 Point What is the slope of the budget constraint? Enter your answer in a decimal form, rounded to two digits.
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