Critically discuss the relation between risk (e.g., the volatility of returns and the beta) and returns for both individual and portfolio investments.
Para 1 : Introduction which includes the risk and return in investments and what would be there in the future sections
Para 2 : relation between volatility risk and returns in individual stocks and relation between volatility risk and return in portfolio (you should include Portfolio diversification and efficient frontier with a graph)
Para 3 : relation between beta and returns in individual stocks and relation between beta and return in portfolio
Para 4 : Conclusion