subject
Mathematics, 01.11.2019 02:31 miraclejones543

Suppose valerie is choosing how to allocate her portfolio between two asset classes: risk-free government bonds and a risky group of diversified stocks. the following data shows the risk and return associated with different combinations of stocks and bonds. combination: abcde fraction of portfolio in: 0255075100 diversified stocks (percent) average annual return: 1.503.505.507.509.50 (percent) standard deviation of: 05101520 portfolio return (risk) (percent) suppose valerie modifies her portfolio to contain 50% diversified stocks and 50% risk-free government bonds; that is, she chooses combination c. the average annual return for this type of portfolio is 6.5%, but given the standard deviation of 10%, the returns will typically (about 95% of the time) vary from a gain of to a loss of a) -14.5%; -14.5% b) 1.1%; -4.5% c) 15.5%; 1.1% d) 25.5%; 25.5%

ansver
Answers: 3

Another question on Mathematics

question
Mathematics, 21.06.2019 15:20
With this one. will mark brainliest
Answers: 1
question
Mathematics, 21.06.2019 15:30
According to statistics a person will devote 32 years to sleeping and watching tv. the number of years sleeping will exceed the number of years watching tv by 18. over a lifetime, how many years will the person spend on each of these activities
Answers: 1
question
Mathematics, 21.06.2019 17:30
How do i make someone brainliest? (if you answer me, i might be able to make you brainliest! )
Answers: 1
question
Mathematics, 21.06.2019 20:00
The midpoints of the sides of the large square are joined to form a smaller square. what is the area of the smaller square
Answers: 1
You know the right answer?
Suppose valerie is choosing how to allocate her portfolio between two asset classes: risk-free gove...
Questions
question
Mathematics, 10.05.2021 19:20
question
Spanish, 10.05.2021 19:20
Questions on the website: 13722366