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24. Your investment portfolio has two funds in it. Fund A provides 13.5% return a year with risk of 20.5%. Fund B provides 8% a
24. Your investment portfolio has two funds in it. Fund A provides 13.5% return a year with risk of 20.5%. Fund B provides 8% a year with a risk of 11.5% The two funds has a correlation coefficient of -0.5. If you have $600,000 in fund A and $400,000 in fund B, what is your portfolio return and risk
Please use excel formulas to show work
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