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  • 13-12-2022
  • Business
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asset a has an expected return of 15% and a reward-to-variability ratio of .4. asset b has an expected return of 20% and a reward-to-variability ratio of .3. a risk-averse investor would prefer a portfolio using the risk-free asset and. A Asset A B Asset B C No risky Asset D can't tell from the data given

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