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1-4 Asset 1 | Asset 2 P12= 1 Expected return 12% 14% Standard deviation 2.83% 4.24% 3. For Assets 1 and 2, find the composition,
1-4 Asset 1 | Asset 2 P12= 1 Expected return 12% 14% Standard deviation 2.83% 4.24% 3. For Assets 1 and 2, find the composition, standard deviation, and expected return of the portfolio that has minimum risk. 4. Plot the expected return and standard deviation for all possible combinations of Assets 1 and 2. Assuming that investors prefer more to less and are risk avoiders, indicate in red those sections of the diagram that are efficient. 1-4 Asset 1 | Asset 2 P12= 1 Expected return 12% 14% Standard deviation 2.83% 4.24% 3. For Assets 1 and 2, find the composition, standard deviation, and expected return of the portfolio that has minimum risk. 4. Plot the expected return and standard deviation for all possible combinations of Assets 1 and 2. Assuming that investors prefer more to less and are risk avoiders, indicate in red those sections of the diagram that are efficient
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