Question:

Given the returns risk and correlation Portfolio S Portfolio

Last updated: 2/9/2023

Given the returns risk and correlation Portfolio S Portfolio

Given the returns risk and correlation Portfolio S Portfolio B Risk free 0 8104 0 7823 E r O 0 8536 pSB What is the weight of Portfolio B for the min 0 11 0 4 0 065 0 16 0 03 0 41