A presentation power point consisting of 14 to 15 slide with 6 separate parts th

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A presentation power point consisting of 14 to 15 slide with 6 separate parts th

A presentation power point consisting of 14 to 15 slide with 6 separate parts that are physical and financial investments, risk and return, calculating risk using the standard deviation, portfolio theory (correlation and covariance), and a graph for the efficient market hypothesis. All rates and examples should be UK based please. The lecture slides are included for the assignment which is from slide 343 to slide 600. The assignment details that is part 2 are also included in the second attachment.

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