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Finance Questions.?


1. If investment return is stated in dollars, to make a decision regarding return adequacy you also need to know:
a. only the scale of investment.
b. only the timing of the return
c. both the scale of investment and the timing of the return
d. neither of the above

2. Risk can be analyzed:
a. only on a stand-alone basis
b. only on a portfolio basis.
c. both on a stand-alone and portfolio basis.
d. neither of the above is correct.

3. The coefficient of variation:
a. is a stand-alone risk measure
b. provides an idea of how far above or below the expected value the actual value is likely to be
c. shows the risk per unit of return
d. a and c are correct

4. ______________ is a measure of market risk which is the extent to which the returns on a stock move with the market.
a. Beta
b. Standard deviation
c. Coefficient of variation
d. Expected return

5. Which of the following statements best describes what would be expected to happen as you randomly add stocks to your portfolio?
a. Adding more stocks to your portfolio reduces the portfolio鈥檚 company-specific risk.
b. Adding more stocks to your portfolio reduces the beta of your portfolio.
c. Adding more stocks to your portfolio increases the portfolio鈥檚 expected return.
d. All of the statements above are correct.

I will answer one of the five questions, and give you a link to get help answering the others.

4) A

Good luck.

Personally, I didn't even read the questions. I think your method of posing them is lazy and ill-mannered.

Do your own damned homework!

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