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rank the five portfolios from likely greatest to likely least risk. Explain your reasoning behind this ranking 1.3 month government bills 2.10+year government bonds 3.10+year

rank the five portfolios from likely greatest to likely least risk. Explain your reasoning behind this ranking

1.3 month government bills

2.10+year government bonds

3.10+year investment grade corporate bonds

4.Large market capitalisation stocks

5.small market capitalisation stocks

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