Risk and Return-Finance 3312
will be greater than or equal to .74 but less than or equal to 1.51.
A portfolio is comprised of 35 securities with varying betas. The lowest beta for an individual security is .74 and the highest of the security betas of 1.51. Given this information, you know that the portfolio beta:
Stock prices should respond only to the expected news and events
If the financial markets are efficient, then:
expected return
Mary owns a risky stock and anticipates earning 16.5% on her investment in that stock. Which of the following best describes the 16.5% rate?
Risk Premium
On a particular risky investment, investors require an excess return of 7% in addition to the risk-free rate of 4%. What is this excess return called?
unsystematic risk
Portfolio diversification eliminates:
total; systematic
Standard deviation measures ______ risk while beta measures ______ risk.
beta coefficient
The amount of systematic risk present in a particular risky asset relative to that in an average risky asset is measure by the:
lower,lower
The lower the standard deviation of returns on a security, the ______ the expected rate of return and the _______ the risk
Systematic
The risk premium for an individual security is based on which one of the following types of risk?
Volatility
The standard deviation measures the _______ of a security's returns over time.
If a risky security is correctly priced, its expected risk premium will be positive
Which of the following statements is correct?
Stock price that declines over the investment period
Which one of the following could cause the total return on an investment to be a negative rate?
a warehouse fire
Which one of the following is the best example of unsystematic risk?
Decrease in gross domestic product
Which one of these is the best example of systematic risk?