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Choose arbitrarily one bond fund, one Canadian equity fund, and one international fund that have at least ten years of data. Obtain the data necessary to calculate the monthly rate of return for the past ten years. Use a computer software package (eg. The Plan Plus program) to calculate the average rates of return, the standard deviation, and correlation coefficients between the three funds. Construct three portfolios from these mutual funds. For each portfolio, calculate the expected rate of return and the standard deviation