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Excel sheet from that assignment to sohe. Below are the risk and return estimates for the World stock market index of developed markets, the Morgan

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Excel sheet from that assignment to sohe. Below are the risk and return estimates for the World stock market index of developed markets, the Morgan Stanley Capital International MSCI) Europe, Australasia and Far East (EAFE) index, and the International Finance Corporation (IFC) Composite index of emerging markets. Market World EAFE Return Risk 10% 12% 15% 16% 17% 25% Composite All return and risk measures are calculated in US. dollars and are expressed in % per year. The correlation between any of the assets is p 0.2 Here are the portfolio proportions Portfolio rfolio World EAFE Composite 50% 45% 40% 50% 45% 40% 0% 10% 20% True or False: These are the correct return and risk estimates for Portfolio A, B, C Risk% 14.29 13.52 Return% 11.00 11.40 Portfolio A: 50%world + 50%EAFE B: 45%world + 45%EAFE + 10%Composte C: 40%world 40%EAFE + 20%Composite 11.80 13.24 D True False

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