Mathematics
Mathematics, 09.10.2021 04:40, jenistha123

2.37 Portfolio return: A portfolio's value increases by 17% during a financial boom and by 6% during normal times. It decreases by 14% during a recession. What is the expected return on this
portfolio if each scenario is equally likely?
% (round to the nearest whole percent)

answer
Answers: 1

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2.37 Portfolio return: A portfolio's value increases by 17% during a financial boom and by 6% duri...

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