lidycrawfojulidieW lidycrawfojulidieW
  • 19-10-2016
  • Business
contestada

Assuming the correlation between the annual returns on the two portfolios is indeed zero, what would be the optimal asset allocation?

Respuesta :

andriansp andriansp
  • 02-11-2016
Since you provide no relevant number, 

In order to find out the optimal Asset allocation, you should find out which investment opportunities that Provide the highest return with the lowest standard deviation in the risk department

hope this helps
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