Last Updated:2025/11/24

The portfolio manager explained that the capital market line demonstrates the optimal trade-off between expected return and risk for investors.

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The portfolio manager explained that the capital market line demonstrates the optimal trade-off between expected return and risk for investors.

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ポートフォリオマネージャーは、資本市場線が期待収益率と標準偏差(リスク)の関係を示し、投資家にとってのリターンとリスクの最適なトレードオフを表すと説明した。

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