Paper title: Coursework 6
Academic level: Masters, MBA
Pages: 2
Source amount: 2
Subject: Finance
Formatting style: APA
Type: Coursework
Details: I need answers for all questions separately: 1. “Portfolio Theory.” Please respond to the following: Analyze the fine points of portfolio theory and determine which single point is the most difficult for investors to understand, and then explain it in a way that your grandmother would understand (assuming she is not a financial analyst). 2. Collapse “Behavioral Finance.” Please respond to the following: Based on what you discovered in the e-Activity (Use the Internet to research how non-rational factors have recently affected the value of the DJIA, the S&P 500, or both.), discuss the “behavioral factors” that may have played a role in recent movements of the market, and how financial analysts should anticipate the effect of such factors.