Which statement about diversification is correct? A. Investing in only one asset class is the best way to diversify. B. Diversification can completely eliminate risk. C. Spreading investments across different asset classes can lower risk. D. Diversification is not necessary for risk management. ...
aThis could not possilby have been more helpful 这不可能possilby是更加有用的[translate] aDiversification - Strategy designed to reduce risk by spreading the portfolio across many investments. 多样化-战略设计通过传播股份单减少风险横跨许多投资。[translate]...
百度试题 题目Diversification can reduce: A. systematic risk. B. macroeconomic risks. C. unsystematic risk.相关知识点: 试题来源: 解析 C 略 反馈 收藏
Risk management and the magic of diversification.Discusses the risk-management strategies used by hedge funds company Platinum Capital Management. Ways of examining risks; Criteria for choosing fund managers; Use of the concept of diversification to reduce risk....
Conventional wisdom in banking argues that diversification tends to reduce bank risk and improve performance, but the recent financial crisis suggests that aggressive diversification strategies may have resulted in increased risk taking and poor performance. This paper addresses this important question by ...
Diversification can effectively reduce risk. Once a portfolio is diversified fully, the type of risk remaining is A、individual security risk. B、riskless security risk. C、risk related to the market portfolio D、total standard deviat
Diversification can effectively reduce risk. Once a portfolio is diversified fully, the type of risk remaining isA.risk related to the market portfolioB.riskless security risk.C.individual security risk.D.total standard deviations.的答案是什么.用刷刷题AP
Diversification is a strategy that mixes a wide variety of investments within a portfolio in an attempt to reduce portfolio risk. Diversification is most often done by investing in different asset classes such as stocks, bonds, real estate, or cryptocurrency. ...
DIVERSIFICATION STRATEGY AND RISK REDUCTION 来自 ResearchGate 喜欢 0 阅读量: 137 作者:Sulastri,M Adam,Isnurhadi,F Muthia 摘要: The choice of diversification strategy is an important issue in strategic management to reduce risks of business portfolio. Many research have distinct the construct of ...
This argument can be applied especially before 1970, before advances in financial markets and international asset instruments enabled individual investors (or funds acting on their behalf) to directly conduct for themselves such strategies of international diversification to reduce risk. 展开 ...