Please address the following questions in detail; - What is an efficient portfolio? How can...

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Finance

Please address the following questions in detail; - What is an efficient portfolio? How can the return and standard deviation of a portfolio be determined? - Why is the correlation between asset returns important? How does diversification allow risky assets to be combined so that the risk of the portfolio is less than the risk of the individual assets in it? - What is the cost of capital? What role does the cost of capital play in the firms long-term investment decisions? How does it relate to the firms ability to maximize shareholder wealth? - How do the constant-growth valuation model and capital asset pricing model methods for finding the cost of common stock differ? - How do inferential statistics differ from descriptive statistics? How would the outcome of research in the environment change when an inferential statistic is used instead of a descriptive one? Requirements: (a) Please include a title page, introduction, and conclusion with a proper APA format (b) Please ensure that at least 3 credible references are used, and make sure to cite them. (c) 5 to 6 pages length excluding title and reference page.

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