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The market portfolio has an expected return of 9.2% with a volatility of 16.7% while the...

The market portfolio has an expected return of 9.2% with a volatility of 16.7% while the T-bills earn 3.6%. Your degree of risk aversion is 3. You have $50,000 to invest. How much (in $, NOT in %) will you invest in the market portfolio?

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