A. High risk always means high return B. Low risk always means high return C. High risk may mean high return, but not always D. Risk and return have no relationship 相关知识点: 试题来源: 解析 C。投资中的风险和回报的关系是高风险可能意味着高回报,但不是一定的。高风险投资有获得高回报的...
A. High risk always means high return. B. Low risk always means low return. C. There is no relationship between them. D. Higher risk may lead to higher return but also more uncertainty. 相关知识点: 试题来源: 解析 D。解析:在投资中,高风险可能带来高回报,但也有更多不确定性。选项 A 高...
The relationship between risk and return on the financial market is an issue of primary importance in finance, and it spans all the fields of specialization, including corporate finance.doi:10.1007/978-3-319-39549-4_3Angelo CorelliSpringer International Publishing...
The Relationship between Risk and Return in Portfolio Size of Firms Listed in Tehran Stock ExchangeInvest primarily in the stock market involves risk, and risk acceptance and efficiency, a key factor in the investment decision. Ther...
What is the relationship between risk and return and how does this relationship impact stock investment decisions?Stock Market:The stock market is the most catchy market for people as one earns a massive sum of money from investing in this market. A...
A. High risk always means high return. B. Low risk always means low return. C. There is no relationship between risk and return. D. Higher risk usually means higher return, but not always. 相关知识点: 试题来源: 解析 D。解析:高风险通常意味着高回报,但不是绝对的。低风险不一定总是低回...
The relationship between risk and expected returns, Incomplete informationattention by financial analysts and information di..erential, ArtículoAsset pricing theory generally assumes perfect markets and, therefore, asset pricing models disregard the possibility of information deficiency in stock price formation...
Obviously, with hindsight there was no need to calculate the required return for C plc as it has a beta of one and therefore the same level of risk as the market and will require the same level of return as the market, ie the RM of 11%. The systematic risk-...
aFor example, if G01 (group 1) and G92 (group 0) both given in a block, G01 should be taken care first. 例如,如果G01 (小组1) 和G92 (小组0) 在块测量的两个, G01应该小心first。[translate] aTHE RELATIONSHIP BETWEEN RISK AND EXPECTED RETURNS WITH INCOMPLETE INFORMATION 风险和期望的...
This paper, by introducing uncertainty, derives the general relationship between the expected return on a bond and its market yield. The derivation is for risky corporate as well as for default free government bonds. The relationship is nonlinear and involves an expression which is an approximation...