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Considering the data again, if you had to choose two of them, which ones would they be, and what would be their allocation? (Total allocations must equal
100%). a. Asset
%allocation b. Asset
%allocation Explain your selection and how and why they were accordingly allocated.Note the following data: \table[[\table[[Econ Scenario],[Probabilities %]],\table[[ASSET A],[Exp Returns]],\table[[ASSET B],[Expected Returns]],\table[[ASSET C],[Expected Returns]],\table[[ASSET D],[Expected Returns]]],[Strong Econ 15%,+20.30%,+16.20%,+5.00%,+10.00%],[Normal Econ 60%,+15.50%,+12.20%,+4.90%,+9.00%],[Weak Econ 20%,+2.30%,+9.50%,+3.50%,+5.80%],[Recession 5%,-15.60%,+0.90%,+1.00%,-1.50%]]

