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What are the expected return and risk for the ProValue fund, based on the expected annual returns for each individual stock in Exhibit 10? Please
What are the expected return and risk for the ProValue fund, based on the expected annual returns for each individual stock in Exhibit 10? Please compare the expected return and risk with current weights shown in Exhibit 8 and those with optimized weights shown in Exhibit 10? How should TAM adjust the portfolio, if at all?
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