kaelah1352 kaelah1352
  • 02-01-2020
  • Business
contestada

You have a client who is tolerant to risk who has a 35-year time horizon. The most appropriate allocation of this client's portfolio would be:

[A] Split 50% bonds, 50% stocks
[B] Split 45% bonds, 55% stocks
[C] Split 90% stocks, 10% money market
[D] 25% in four categories: bonds, money market, REITs, and stocks

Respuesta :

thecatmaster82
thecatmaster82 thecatmaster82
  • 02-01-2020
The answer to your question is A
Answer Link

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