Question: 1. Using the data given below, please graph the expected return and standard deviation for 3 portfolios using the 3 different correlations. 2. Indicate what

 1. Using the data given below, please graph the expected return

1. Using the data given below, please graph the expected return and standard deviation for 3 portfolios using the 3 different correlations. 2. Indicate what area of the graph is efficient using the correlations 3. Calculate the minimum variance for each portfolio Security Expected return standard deviation 7.35% 14.95% 4.55% 8.25% Please create 3 different graphs using the following correlations:.6, .1, -.8 1. Using the data given below, please graph the expected return and standard deviation for 3 portfolios using the 3 different correlations. 2. Indicate what area of the graph is efficient using the correlations 3. Calculate the minimum variance for each portfolio Security Expected return standard deviation 7.35% 14.95% 4.55% 8.25% Please create 3 different graphs using the following correlations:.6, .1, -.8

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