South Carolina

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Issue:

Miscellaneous

 

Written by:

Patricia K

 

Date added:

March 19, 2012

 

Level:

College

 

Grade:

A

 

No of pages / words:

1 / 215

 

Was viewed:

1289 times

 

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Both groups had higher returns and lower volatility than the portfolio's of 1 and 5 stocks. In addition, the risk of these two portfolio's is substantially lower than the risk associated with bonds, and yield higher returns.
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3. We then formed a portfolio of a combination of high performing stocks and compared its performance. For e.g. we formed a portfolio consisting of Exxon and GE and compared its returns and risk to a portfolio consisting of GE and GM. From the table below, we can see that a portfolio consisting of Exxon and GE has higher returns and lesser risk compared risk to a portfolio consisting of GE and GM...
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