An investor decides to reduce their allocation in the Technology sector by 5% of the total portfolio and move that amount to Finance. After this change, which sector will have the second-largest allocation in the portfolio?
Added by Vivian K.
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Step 1: Let original allocations be assumed typical: Technology 25%, Finance 15%, Healthcare 20%, Consumer 12%, Energy 8%, Industrials 10%, Utilities 5%, Real Estate 5% (total 100%). Show more…
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