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how do i explain that i beat the market against my portfolios. as the abnormal return is 0.4% and 3.22% for each portfolio. the strategy

how do i explain that i beat the market against my portfolios. as the abnormal return is 0.4% and 3.22% for each portfolio. the strategy used was value investing through fundamental analysis. explain using fundamentals and the market characteristics vs assumptions of EMH. use journal articles to support answer.

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