Question: 3 . The market portfolio expected return is 6 % and its standard deviation is 1 5 % . The risk - free rate is

3. The market portfolio expected return is 6% and its standard deviation is 15%. The risk-free rate is 0.5%. What are the expected return and the standard deviation of the portfolio that invests 50% in the risk-free asset and 50% in the market?3. The market portfolio expected return is 6% and its standard deviation is 15%. The risk-free rate is 0.5%. What are the expected return and the standard deviation of the portfolio that invests 50% in the risk-free asset and 50% in the market?

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