Investment management | Business & Finance homework help

5. What is the impact of a risk-free portfolio correlation

6. How does risk free impact the standard deviation

7. Expected return

8. unSystemic risk – diversation – how to elimate unsystemic risk

9. diagram

unit 7

10. describe an efficient capital market theory

11. why analyst need to focus on mid-tier stocks instead of top tier stocks

12. Why would an investor appreciate the option deverative 

13. Difference between future and forward markets

14. Beta

15. What is common stock valuations