Stock fund in the minimum variance portfolio

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1. Locate at least one online resource (a link, article, or book, for example) pertaining to lease versus buy analyses in general or within the healthcare industry and review for the class.

2. A stock fund has standard deviation of 17 percent and a bond fund has a standard deviation of 8 percent. The correlation of the two funds is .24. What is the approximate wight of the stock fund in the minimum variance portfolio?

3. What are the principle benefits of trade shows and exhibitions, and what are some uses for your own company or industry?

Reference no: EM131936247

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