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Pick the other two industry portfolios (out of those 30 industry portfolios, but different than the portfolios you use in Part A) from the data

Pick the other two industry portfolios (out of those 30 industry portfolios, but different than the portfolios you use in Part A) from the data set. Then, calculate the descriptive statistics for these two industry portfolios (mean, variance, standard deviation, skewness, kurtosis), and comment on the differences between respective statistical indicators for each portfolio

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