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Q.2 Portfolio risk and return. Suppose you are considering twostocks, A and B. Use the following scenario analysis to answer thequestions.Probability: 0.25 (Bear Market), 0.4
Q.2 Portfolio risk and return. Suppose you are considering twostocks, A and B. Use the following scenario analysis to answer thequestions.Probability: 0.25 (Bear Market), 0.4 (Normal Market), 0.35 2 answers
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