Suppose you owned a portfolio consisting entirely of long-term U.S.

Suppose you owned a portfolio consisting entirely of long-term U.S. government bonds. Would your portfolio be riskless? Suppose you owned a portfolio of 30-day U.S. Treasury bills. Every 30 days the bills mature, and you reinvest the principal in another batch of 30 day bills. Would this portfolio be riskless?

Your post should be 3-4 paragraphs in length. Make sure to demonstrate critical thinking and analysis. In order to support your post you must include at least one academic, peer-reviewed journal article from 

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