174k views
3 votes
50%

15%
20%
15%
Adjust the percentages of Chris's investment to minimize the risk in his portfolio

15%

BOND
(low risk, low growth)

50%

STOCK
(higher risk, higher growth)

20%

MUTUAL FUND
(medium risk, medium growth)

15%

1 Answer

6 votes
Max out Stock, if doesn’t
Max out Mutual Fund (I’m assuming it’s everfi)
User Etan
by
7.8k points