The measure of risk for a security held in a diversified portfolio is______.A.specific ris
The measure of risk for a security held in a diversified portfolio is______.
A.specific risk
B.standard deviation of returns
C.reinvestment risk
D.covariance
The measure of risk for a security held in a diversified portfolio is______.
A.specific risk
B.standard deviation of returns
C.reinvestment risk
D.covariance
A、Total risk
B、Nondiversifiable risk
C、Unsystematic risk
D、Systematic risk
A、a company introducing its existing products in a new market
B、a company introducing new product category in a new market
C、a company increases its product line in an existing market
D、a company introducing a new product category in an existing market
E、a company integrates backward to cut costs
A、The Love Song of J. Alfred Prufrock
B、Ash Wednesday
C、The Waste Land
D、Four Quartets
A.a security's expected return as a function of its systematic risk
B.the market portfolio as the optimal portfolio of risky securities
C.the relationship between a security's return and the return on an index
D.the complete portfolio as a combination of the market portfolio and the risk-free asset
A.Duration is a weighted average of the maturities of the cash payments.
B.All else being equal, the longer the term to maturity of a bond, the longer its duration.
C.All else being equal, when interest rates rise, the duration of a coupon bond rises.
D.All else being equal, the higher the coupon rate on the bond, the shorter the bond's duration.
A.consumer loans
B.government securities
C.residential mortgages
D.corporate stocks
A.a risk-averse individual
B.a risk-loving individual
C.a diversifier
D.both A and C
A.U.S. Treasury bill
B.Commercial paper
C.Residential mortgage
D.Demand deposit
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