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plz explain Kamla is considering investing in two risky portfolios ABC and XYZ. She is an extremely risk averse investor and wants to invest in

image text in transcribedplz explain
Kamla is considering investing in two risky portfolios ABC and XYZ. She is an extremely risk averse investor and wants to invest in one risky-portfolio OR both risky-portfolios. Once she has selected the risky portfolio, what factor / characteristic will explain her allocation of wealth between the risky portfolio and risk-free asset in the complete portfolio? Sharpe Ratio Risk tolerance Asset riskiness

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