I need help with this assignment. There are 3 parts of this assignment. Please take a look at the instructions that are attached. Let me know if you have a question. Thanks!
1- Describe the historical risk and risk-return relationship of the stock, bond, and cash markets. 2- What does diversification do to the risk and return characteristics of a portfolio?
1- Describe the historical risk and risk-return relationship of the stock, bond, and cash markets. 2- What does diversification do to the risk and return characteristics of a portfolio?




