"Analyze the relationship between risk and rate of return, and suggest how you would formulate a portfolio that will minimize risk and maximize rate of return.
Formulate an argument for investment diversification in an investor portfolio.
Address how stocks, bonds, real estate, metals, and global funds may be used in a diversified portfolio. Provide evidence in support of your argument.
Evaluate the concept of the efficient frontier and how you will use it to determine an asset portfolio for a specified investor.