Would some investors find the 50 50 portfolio preferable to holding
Would some investors find the 50/50 portfolio preferable to holding Chevron, Yum! Brands or an S&P 500 index exchange-traded fund (ETF) alone? Draw an XY scatterplot of the expected return (y-axis) and standard deviation (x-axis) of both stocks, the S&P 500 index and the 50/50 portfolio and explain your reasoning based on each investment's mean-variance efficiency.
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