Based on the data below what is the mean return of the


Question: Based on the Data below, what is the mean return of the portfolio? Stock Mean returns Stdev of returns ACC 0.61% 4% AP 1% 3.7% Correlation: 0.3 Amount Invested: ACC: 4 Lakh, AP: 6 Lakhs Price ACC = 599.75 Price AP = 797.4.

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Portfolio Management: Based on the data below what is the mean return of the
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