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CFA考试(Level Ⅰ) - 相关题库
单选题 编号:2695367
1. A sample of 240 managed portfolios has a mean annual return of 0.11 and a standard deviation of returns of 0.23. The estimate of the standard error of the sample mean is closest to:
  • A.0.00096.
  • B.0.00710.
  • C.0.01485.

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