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Investment Analysis Treynor Ratio PORTFOLIO OF INDIA PORTFOLIO OF AUSTRALIA Australia -0.2614632 MEAN RETURN -16.84% MEAN RETURN -30.04% India -0.1927224 Beta 0.873947 Beta 1.148887 Assuming

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Investment Analysis Treynor Ratio PORTFOLIO OF INDIA PORTFOLIO OF AUSTRALIA Australia -0.2614632 MEAN RETURN -16.84% MEAN RETURN -30.04% India -0.1927224 Beta 0.873947 Beta 1.148887 Assuming you are an risk averse investor wanting to invest $10 million. From the above data which of the two portfolios would be suitable to invest in. Consider the issues of risk and return. Please answer in financial terms

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