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Risk-Free Portfolio
An investment portfolio constructed entirely of assets deemed to have no risk of financial loss, often consisting of government securities.
Expected Rate
The anticipated rate of return on an investment, accounting for all known factors and risks.
Correlation Coefficient
A statistical measure that calculates the strength of the relationship between the relative movements of two variables.
Covariance
A measure of how two random variables move in relation to each other, indicating the direction of their linear relationship.
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