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Pick at least one topic from the following list and participate in the discussion, or post your own thoughts/finding/analysis. When you post your discussion, make sure you write down which topic that you are discussing. Thanks!
Discuss James Tobin’s Separation Property. Explain why investors’ degree of risk aversion does not play a role in determining the optimal risky portfolio. Why optimal risky portfolio can be different among different investors?
Compare the CAPM model and the APT model.
What is the security characteristic line and what is the security market line? How do we use each of these lines?
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