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Fund A sells at 532 a share and has a 3-year average annual return of 53 per share. The risk measure of standard deviation is

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Fund A sells at 532 a share and has a 3-year average annual return of 53 per share. The risk measure of standard deviation is 17.1 . Fund B sels at 546 a share and has a 3 yeat average annual return of $8 a share. The risk measure of standard deviation is.15.5. Sally Burkhardt wants to spend no more than $7000 investing in these two funds, but she wants to obtain at least 5800 in annual revenive. Sally abse wants to minimize her tisk. Detemine how many shares of stock Sally should buy. Saly should buy shares of Fund A and shares of Fund B (Round to the nearest whole number as needed)

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