Question just wants you to choose the appropriate Asset allocation. The question has an IPS and in it this is stated "The portfolio should focus primarily on investment in businesses directly related to our main business to leverage our knowledge base)
The company is a US tech company and Currentl at 50% IPO/Tech portfolio.
The answer is portfolio C with 10% IPO/Tech in its portfolio. I wouldv’e chosen portfolio B where it’s Tech component is 40%. Realistically I wouldn’t but the question states IN THE IPS that the portfolio should focus on business’s directly related to our main business to leverage our knowledge base.
Shouldn’t we follow the IPS constraints always?