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Which one of the following will decrease the risk of a portfolio that consists of stocks

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Which one of the following will decrease the risk of a portfolio that consists of stocks, Treasury bills, and gold?;A) Decreasing the number of securities in the portfolio;B) Selling stocks and replacing them with Treasury bills;C) Selling a.90 beta stock and buying a 1.1 beta stock;D) Selling the gold and buying more diversified stocks;E) Selling the large-company stocks and buying small-company stocks

 

Paper#32742 | Written in 18-Jul-2015

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