Multiple Choice
For an investor with a time horizon of 15 years and moderate risk tolerance, an appropriate asset allocation strategy would be
A) 100 percent stocks.
B) 40 percent cash and 60 percent stocks.
C) 30 percent cash, 50 percent bonds, and 20 percent stocks.
D) 50 percent bonds, and 50 percent stocks.
E) 20 percent bonds and 80 percent stocks.
Correct Answer:

Verified
Correct Answer:
Verified
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