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Portfolio 1: Balanced Portfolio Bond Fund (BF): 30% Equity Fund (EF): 35% International Fund (IF): 35% Construct a portfolio from these mutual funds. For the

Portfolio 1: Balanced Portfolio Bond Fund (BF): 30% Equity Fund (EF): 35% International Fund (IF): 35% Construct a portfolio from these mutual funds. For the portfolio, calculate the expected rate of return and the standard deviation. Please show on Excel and provide screenshots

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