The objective of our project is to identify a selected portfolio of financial instruments and provide recommendations to the average investor regarding the allocation of one’s capital in constructing the optimal portfolio based on different degrees of risk aversion.
Project Members: Andrew Chua Wenhua, Dong Chengyu, Gao Guanyi, Gavin NG Soon Ping, Lee Chin Sze, Wu Jiayang
Project Supervisor: Dr. Yuanto KUSNAD
Deliverables: Project Codes Project Report