Please summarize its key points in no more than two (2) pages. Distill the information down to its most essential elements. Questions to be Addressed Were there any hypotheses or expected outcomes? If
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?




