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Business, 23.02.2022 01:20 adrian128383

An investor gathered the following information regarding three stocks, which are not in the market portfolio: Stock Actual Return Standard Deviation Beta A 22% 25% 1.1 B 17% 30% 1.4 C 19% 23% 0.8 The return on the market portfolio is 15% with a standard deviation of 21%, and the risk-free rate of return is 4%. Which stock should the investor least likely add to the market portfolio

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