What are the seven most common political risk mitigation


1. Stocks X and Y have standard deviations of 40% and 30% respectively. The weights on these stocks are 10%, 90%. Their correlation is 0.3. What is the portfolio standard deviation?

2. Political Risk Mitigation. What are the seven most common political risk mitigation strategies employed by multinational enterprises?

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Financial Management: What are the seven most common political risk mitigation
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