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- 1. Discuss the 5 biases which people have when investing. Outline how these biases impact investment decision making and portfolio management.Define investors.What are the main concerns about investing? Name three investment-related risks that someone would anticipate in the future. How will they manage those risks?
- 2. How would you describe the correlation between risk and return in investments, and what are the various types of income that investors consider from their standpoint?What are the three most common forms of equity funding?Which among the following is a better investment products, bonds, stocks or investment funds? Justify your answer.
- Analyse the difference between mutual funds and hedge funds. Outline differences by following criteria: 1. risk2.return3. transparency4. regulation5.target investor typeP.S.Please provide a very long and detailed answer, this has the most weight out of all questions ! Thank you in advance :) <3When individuals evaluate their portfolios, they should evaluate all Select one: a. marketable securities and other liquid assets. b. assets and liabilities. C. marketable securities. d. assets.1.What is the relationship between an investment’s risk and its return? Please provide examples if possible. 2. Difference between Institutional Investors and Individual Investors.