risk-free assets, business and finance homework

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IMPORTANT NOTE:
The professor stated that the previous assignment you completed did not address the questions in
its full context. The thread discussion questions are an opportunity to go
outside the box to demonstrate your analytical, integrative, problem- solving
and critical thinking skills using the knowledge acquired in your readings. As
a result, it is very important to pay close attention to the questions and be
able to conduct your discussions in the context of your question. (I guess you deviated
and started discussing something that had nothing to do with the question). – Please keep this in mind when you complete
this week’s assignments for me.

ANSWER THE
FOLLOWING QUESTIONS. Each question should be answered in at least 250
words. Quality of content and use of course and
outside-of-course resources to support your position or analysis. The
answers should not be in the form of essay, just straight to the point- Work
must be original and cite your sources.

Please be sure
to answer the question completely but specifically in well-written complete
sentences. 

1.  Explain
the concept of risk-free assets.

2.  When
adding a risky asset to a portfolio of many risky assets, which property of the
asset is more important, its standard deviation or its covariance with the
other assets? Explain.

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