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  • 21-04-2024
  • Business
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A portfolio has a standard deviation of 18.3%, a beta of 1.32, and a Treynor ratio of 0.073. The risk-free rate is 2.5%. What is the portfolio's expected rate of return?
The direction of the current induced in coil 2:
a) If the current in coil 1 increases?
b) If the current in coil 1 decreases?
c) If the current in coil 1 is constant

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