CFA Level I sample question

CFA Level I Portfolio Risk and Return: Part II question

Portfolio Management / Portfolio Risk and Return: Part II

No-login practice

Portfolio Risk and Return: Part II sample question

Choose an answer before revealing the explanation, key takeaway, and answer-choice review.

Question 1 of 1Score 0/1
Moderate

Portfolio Management

Portfolio Risk and Return: Part II

An investor allocates 75% to a risky portfolio with expected return of 11% and 25% to a risk-free asset yielding 3%. The expected return of the complete portfolio is closest to:

Report an issue

Question of the Week

Get one CFA Level I question by email

Receive a weekly practice question with answer-choice explanations and a short takeaway.