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1. Given the uncertainty related to the Covid-19 pandemic, how does the investment risk of sovereign bonds compare to other possible investment options in corporate
1. Given the uncertainty related to the Covid-19 pandemic, how does the investment risk of sovereign bonds compare to other possible investment options in corporate stocks and bonds? Explain your answer using the investment risk factors. 2. In January 2020, anticipating the coming economic and financial turmoil related to the Covid-19 pandemic, a fund manager increased the portfolio exposure to US, UK and German long-term sovereign bonds. Would this strategy be successful? Explain your
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