For each of the following pairs of investments, state which would always be preferred by a rational investor (assuming that these are the only investments available to the investor):
a.
Portfolio A r = 18% | σ = 20% |
Portfolio B r = 14% | σ = 20% |
b.
Portfolio C r = 15% | σ = 18% |
Portfolio D r = 13% | σ = 8% |
c.
Portfolio E r = 14% | σ = 16% |
Portfolio F r = 14% | σ = 10% |
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