CFA Level I sample question

CFA Level I Portfolio Risk and Return: Part I question

Portfolio Management / Portfolio Risk and Return: Part I

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Portfolio Risk and Return: Part I sample question

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Portfolio Management

Portfolio Risk and Return: Part I

Given scenario returns of -4%, 8%, and 16% with probabilities of 0.30, 0.50, and 0.20, respectively, the expected return is closest to:

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