Question 23
What would be the standard deviation of the rate of return of the equally weighted portfolio?
0.2037
0.2243
0.2500
0.2734
What would be the standard deviation of the rate of return of the equally weighted portfolio?
0.2037
0.2243
0.2500
0.2734
Correct answer
0.2037
Question 23 of 25 in the IIT Madras BS Corporate Finance (Corporate Finance) Quiz 2 paper sat on 12 Apr 2026, in the January 2026 term (Corporate Finance 07 Apr 26). It carries 4 marks.