This is the correlation from 2 portfolio to choose from, which one would you suggest...

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Finance

This is the correlation from 2 portfolio to choose from, which one would you suggest in terms of less correlation and why

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A2 B2 C2 A 1 B 1 0.069355 1 0.218899 0.052253 B A2 B2 C2 0.128684 1 0.159314 0.031799 C 1 1

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