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can anyone help me figure out what i did wrong on this question?

Part II: Problems - 3 questions (50 pts.) Solve THREE of the following FOUR numerical problems. You must show all work for fu
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Answer #1

Here your answer for the b part is correct but you haven't answered is it more or less risky than the market.

So as per your answer which is 1.1 the portfolio is riskier than the market because the Beta of the market is 1.

So you have to add that the portfolio is riskier than the market to get the full marks on that question.

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