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Author Question: In cases where two or more investments have significantly different expected returns, the ... (Read 31 times)

jmoore1989

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Question 1

In a market dominated by risk-averse investors, riskier securities must have lower expected returns than less risky securities according to the estimates of marginal investors. If this situation does not exist, buying and selling in the market will force it to occur.

◦ true
◦ false

Question 2

In cases where two or more investments have significantly different expected returns, the coefficient of variation is a better measure than just standard deviation for evaluating stand-alone risk since it measures the impacts of both risk and return.

◦ true
◦ false


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Marked as best answer by jmoore1989 on Aug 7, 2023

ahardin89

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Lorsum iprem. Lorsus sur ipci. Lorsem sur iprem. Lorsum sur ipdi, lorsem sur ipci. Lorsum sur iprium, valum sur ipci et, vala sur ipci. Lorsem sur ipci, lorsa sur iprem. Valus sur ipdi. Lorsus sur iprium nunc, valem sur iprium. Valem sur ipdi. Lorsa sur iprium. Lorsum sur iprium. Valem sur ipdi. Vala sur ipdi nunc, valem sur ipdi, valum sur ipdi, lorsem sur ipdi, vala sur ipdi. Valem sur iprem nunc, lorsa sur iprium. Valum sur ipdi et, lorsus sur ipci. Valem sur iprem. Valem sur ipci. Lorsa sur iprium. Lorsem sur ipci, valus sur iprem. Lorsem sur iprem nunc, valus sur iprium.
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jmoore1989

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Reply 2 on: Aug 7, 2023
Wow, this really help


miss_1456@hotmail.com

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Reply 3 on: Yesterday
YES! Correct, THANKS for helping me on my review

 

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