Question: I.Calculate the expected return (TP), the standard deviation (sp), the coefficient of variation (CVP), and the Sharpe ratio for this portfolio, and fill in the

 I.Calculate the expected return (TP), the standard deviation (sp), the coefficient

of variation (CVP), and the Sharpe ratio for this portfolio, and fill

I.Calculate the expected return (TP), the standard deviation (sp), the coefficient of variation (CVP), and the Sharpe ratio for this portfolio, and fill in the appropriate blanks in the table

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