Without the actual fund performance table (DEF, GHI, ABC, JKL), the CSC method of fund recommendation is:
Select the fund with the best risk-adjusted return (Sharpe ratio, quartile rankings, consistency).
Avoid funds with high volatility or inconsistent performance.
If you provide the return & performance details (quartile/Sharpe data) for DEF, GHI, ABC, and JKL, I can give the precise fund recommendation.
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