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US Stocks US Bonds US Commercial Real Estate International Stocks Expected Annual Return 9.5% 3.5% 7% 9% Annual Standard Deviation 20% 12% 13% 19% US
US Stocks US Bonds US Commercial Real Estate International Stocks Expected Annual Return 9.5% 3.5% 7% 9% Annual Standard Deviation 20% 12% 13% 19% US Stocks US Bonds US Real Estate Annual Correlations US Bonds US Real Estate International Stocks 35% 50% 55% 60% 25% 40% e. What are the portfolio weights for the 4-fund portfolio with an expected return of 8%? f. Determine the optimal risky portfolio if the risk free rate is 0.5%? (The optimal risky portfolio has the highest Sharpe Ratio)
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