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I need the answer as soon as possible Q.19. 4139 P Ltd. and Q Ltd. have low positive correlation coefficient of + 0.5. Their respective

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Q.19. 4139 P Ltd. and Q Ltd. have low positive correlation coefficient of + 0.5. Their respective risk and return profile is as under: Rp = 10% Ro= 15% Op 20% Compute the portfolio of P and Q to minimize risk and compute the risk and return of the portfolio. GQ = 25% CS Scanned with CamScanner

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