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subportfolio


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1 عمومی:: سبد فرعی

Optimal Allocation to Risky Subportfolio age, resulting in a higher optimal allocation to the risky subportfolio, and consequently higher expected compounding return and finally accelerating growth of investments. (This would give the balanced subportfolio a compounding return of 5.5%.) Her allocation to the risk-bear- ing investment subportfolio quickly jumps to the 100% constraint against investing on margin and stays there for over 15 years.

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