利用下列的資料, 作為投資策略的考慮, 什麼組合(%)是最佳? 投資額: 1百萬港元投資年期: 10年回報率: 7厘或以上承受風險程度: 中度Performance Fund A, Risk - Medium YTD1 Mo1 Yr 3 Yr *5 Yr *10 Yr * Fund8.153.5010.36 -0.31 4.37 8.72 % Rank in Cat305953 34 --- 15 Growth of 10,00010,81510,35011,036 9,908 12,384 23,079 Performance Fund B , Risk - High YTD1 Mo1 Yr 3 Yr *5 Yr *10 Yr * Fund55.010.8374.21 22.31 34.46 26.38 % Rank in Cat96810 4 1 34 Growth of 10,00015,50110,08317,421 18,300 43,939 103,930 謝謝!!