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2. Two secues, L and M, are PEIfEEjT negatiw'elj,T correlated. L's standard deviation is .E and Ms standard deviation is .8. Find the portfolio of

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2. Two secues, L and M, are PEIfEEjT negatiw'elj,T correlated. L's standard deviation is .E and Ms standard deviation is .8. Find the portfolio of L and M that will result in the lowest possible 1151: level

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