Answer the following 3 questions with regard to the following companies: Unipol Gruppo Finanziario, Eni SpA, Barilla, Cargill Inc.

1)In the past 5 years, is the asset (bond, equity or fund) providing a good return?

2)What are the market and investment risks for these assets (for example; Exxon Mobil equity, might under-perform in the future because of unstable and low oil prices. Geo-political risk, industry-sector specific risk, etc.)

3)What is your estimate of the assets performance in the next few years?

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