Investment Analysis and Management

  Create a portfolio comprising a collection of three asset classes (two traditional assets, namely stocks and bonds) and one alternative asset class (any one of your choice) taking into consideration risk-return and modern portfolio theory. You are expected to explain the rationale behind your portfolio selections, and more importantly explain why the portfolio you have constructed using these assets is a robust, well constructed, efficient portfolio in line with the discussion on the subject in class and material covered. Use data, and analysis to support your explanation! Deliverables: Written report (5 pages max). Weight: 20% (see rubric for more details) Your written report should be structured with the following sections: Introduction Summary of Portfolio Rationale for asset classes selected Portfolio assessment Conclusion

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