How does the diversification of a portfolio change its expected returns and expected risks?

How does the diversification of a portfolio change its expected returns and expected risks?

There are multiple discussion questions this week, please respond all in one post:

  1. How does the diversification of a portfolio change its expected returns and expected risks? Discuss any differences in a global environment compared to a domestic environment.
  2. a) Summarize the five main motives that drive the decision to initiate DFI. b) Is this a good time for an MNE to invest in China? Discuss.
  3. Research a current MNE in regards to a multinational capital budgeting project, then discuss how they are implementing one of the real option decisions (on page 502 of your text) pertaining to the specific project.

the student responses 150 words, i will send you three peer reviews

to access the book log on to Vitalsourse login is

hellen.jaju@yahoo.com

Smileface200$

reference the book Multinational Business Finance, 14th EditionBy: Eiteman ISBN: 978-0-13-387987-2

Requirements: 600 words

Masters Finance

Answer preview for the paper on ‘How does the diversification of a portfolio change its expected returns and expected risks?’

diversification of a portfolio

APA 796 words

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