he benefit in risk reduction from adding securities Blank______ as more and more securities are added to a portfolio. Multiple choice question. remains the same increases declines
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he benefit in risk reduction from adding securities Blank______ as more and more securities are added to a portfolio.
remains the same
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declines
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- urgent plzzzzzzzH2. What are the different types of expected return and related risk, for individual assets and for portfolios as a whole. Explain carefully what each type represents and give examples in each case. What type of expected returns does the CAPM model capture? What type of expected return and risk you are exposed to if you have the FTSE 100 INDEX only in the portfolio?(b) The graph below shows possible portfolios with different combinations of risky portfolio and risk-free investment on new efficient frontier. E(R port ) NEW EFFICIENT FRONTIER PA RFR E(o pon) port i. Explain how do investors achieve new efficient frontier. ii. Explain the investor's risk profile of portfolio Pa and portfolio Pg.
- The Capital Market Line (CML) expresses the risk-return trade-off for a portfolio as follows: E(Rport )=RFR+Oport [(E(Rm)-RFR)/om ] Required: Extend this expression to allow for the evaluation of any individual risky Asset i. Explain the steps in details.The concept of Portfolio Effect indicates that the more assets added to the portfolio, the less risk of the total portfolio Select one: O True O False Ne Jump to... CHAPTER 5-STOCK VALUAThe additional return over the risk-free rate needed to compensate investors for assuming an average amount of risk. a. Market Risk Premium b. Risk-free rate С. Stock's beta O d. Security Market Line e. Required Return on Stock
- An investor must look not only at the over-all return of a portfolio but also the risk of that portfolio to see if the investments return compensates for the risk it takes a. it depends b. maybe c. true d.falseEquity price risk is the risk that arises from security price Choose. - the risk of a Choose.. v in the value of a Choose... v or a portfolio. Equity price risk can be either systematic or Choose. v risk. In a global economic crisis, equity price risk is Choose.. because it affects multiple assets Choose. volatility decline classes. increase specific systematic securityA stock's risk has a component called _____________________, which can be minimized as we add more stocks to our portfolio. Select all that apply. A) market risk B) firm-specific risk C) diversifiable risk D) systematic risk
- In portfolio management, risk reduction is achieved by investing in a portfolio in which the securities Question 3 options:1) have a high covariance 2) have a high correlation coefficient 3) have a low coefficient of variation 4) have a lowcovariance 5) are perfectly positively correlated.Find correct statements about the risk premium: (a) The risk premium indicates the amount of compensation investors require for taking risks. (b) The risk premium should be the same across different stocks. (c) The greater common risks an investment has, the higher risk premium investors would require. Group of answer choices: 1. (a) 2. (a) and (b) 3. (a) and (c) 4. (a), (b), and (c)Describe why a fully diversified portfolio is said to have no unsystematic risk but has systematic risk? Then describe how the Arbritrage Pricing Theory (APT) has a cause and effect on the expected return of a security.