Tom wishes to calculate the riskiness of his portfolio, which is comprised of equal amounts of two stocks. Which of the following measures would you recommend?
A) Weighted average betas of the two securities
B) A weighted average of the correlation between the two securities
C) Weighted average standard deviations
D) The slope of the security market line
E) A weighted average of the coefficients of variation
A
Business
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A) use collaborative web sites and wikis B) yield results very slowly C) facilitate an information-sharing environment D) have a specific purpose or problem to solve E) are open-source projects
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Which one of the following technologies is used ONLY for material handling, NOT actual production or assembly?
A) robots B) CNC C) CAD D) AGVs E) FMS
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