Written Assignment 4 - P8-14 Portfolio analysis You have...

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P8-14Portfolio analysisYou have been given the expected return data shown in the first table onthree assets - F, G and H - over the period 2016-2019.Expected ReturnYearAsset FAsset GAsset H201616%17%14%201717161520181815162019191417Using these assets, you have isolated the three investment alternatives shown in thefollowing table.AlternativeInvestment1100% of asset F250% of asset F and 50% of asset G350% of asset F and 50% of asset Ha.Calculate the expected return over the 4-year period for each of these alternatives
b.Calculate the standard deviation of returns over the 4-year period for each of thethree alternatives.?
c.Use your findings in parts a and b to calculate the coefficient of variation for each of the threealternatives.
d.On the basis of your findings, which of the three investment alternatives do you recommend?Why?

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