Discussion
There will be two discussion questions listed below. Respond to one of the discussion questions and submit your response to the Discussion Area. Use the lessons and vocabulary found in the reading.
• Why are investors risk-averse? How can investors deal with different degrees of risk? Justify your answer.
• What is the expected return on a portfolio? How can the expected return on a portfolio be manipulated to minimize the risk on that portfolio? Justify your answer.
The response must include a reference list. Using one-inch margins, double-space, Times New Roman 12 pnt font and APA style of writing and citations.