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Business, 16.12.2020 17:00 marissasabino111

A managed portfolio has a standard deviation equal to 26% and a beta of .9 when the market portfolio's standard deviation is 22%. The adjusted portfolio P* needed to calculate the M2 measure will have invested in the managed portfolio and the rest in T-bills. A. 84.6%
B. 118%
C. 18%
D. 15.4%

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