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The risk free rate, average returns, standard deviations and betas for three funds and the S&P 500 are given below.Fund A – Average 21, Standard Deviation 30, Beta 1.43Fund B – Average 26, Standard Deviation 38, Beta 1.30Fund C – Average 22, Standard Deviation 24, Beta 1.90S&P 500 – Average 13, Standard Deviation 25, Beta 1Risk Free rate – Average 8If these portfolios are subcomponents which make up part of a well diversified portfolio then portfolio _______ is preferred.a) Fund Bb) Fund Ac) Fund Cd) S&P 500

Question: The risk free rate, average returns, standard deviations and betas for three funds and the S&P 500 are given below.Fund A – Average 21, Standard Deviation 30, Beta 1.43Fund B -…

 
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