What is meant by the mean-variance framework


Assignment:

What is meant by the mean-variance framework? Under the i.i.d. assumption, how does the return variance of a portfolio evolve over time? How is this related to what is empirically observed?

Your answer must be typed, double-spaced, Times New Roman font (size 12), one-inch margins on all sides, APA format and also include references.

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Portfolio Management: What is meant by the mean-variance framework
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