An investor has a portfolio with 10% cash, 30% bonds, and 60% stock. Last year, the cash returns was 2.0%, the bonds' return was 9.5%, and the stocks' return was -32.5%. What was the return on the investor's portfolio?

An investor has a portfolio with 10% cash, 30% bonds, and 60% stock. Last year, the cash returns was 2.0%, the bonds' return was 9.5%, and the stocks' return was -32.5%. What was the return on the investor's portfolio?


A) -33.33%.


B) -7.00%.


C) -16.45%.


Answer: C


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