The main reason for diversification for an investor is to:
A. lower transaction costs.
B. take advantage of the fact that returns on assets are not perfectly correlated.
C. take advantage of the fact that returns of assets are perfectly positively correlated.
D. gain from the greater returns that come from greater risk.
Answer: B
Economics
You might also like to view...
All of the following are shown on a firm's income statement except
A) revenues B) rate of return for investors C) costs D) profits
Economics
For a natural monopoly, the marginal cost of producing an additional unit of its product is relatively small
Indicate whether the statement is true or false
Economics