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The One-Year Standard Deviation of Your Portfolio Is 16

question 61

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The one-year standard deviation of your portfolio is 16.4 percent. What is the two-year standard deviation?


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The period in human life after adolescence, characterized by fully developed physical growth, maturity, and the assumption of adult roles and responsibilities.

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A structured investigation designed to develop or contribute to generalizable knowledge based on systematic observation or experimentation.

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A systematic and logical approach to discovering how things in the universe work, involving observation, hypothesis formulation, experimentation, and conclusion.

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