APU FINC600 Week 3 Quiz 2016
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APU FINC600 Week 3 Quiz 2016 APU FINC600 Week 3 Quiz 20 1
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Question 1 of 15 1.0/ 1.0 Points
Which of the following portfolios have the least risk?
A.A portfolio of Treasury bills
B.A portfolio of long-term United States Government bonds
C. Portfolio of U.S. common stocks of small firms
D. None of the above
Question 2 of 15 1.0/ 1.0 Points
If the average annual rate of return for common stocks is 11.7%, and for treasury bills it is 4.0%, what is the market risk premium?
A.15.8%
B.4.1%
C.7.7%
D. None of the above
Question 3 of 15 1.0/ 1.0 Points
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APU FINC600 Week 3 Quiz 2016•APU FINC600 Week 3 Quiz 2016
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Question 1 of 15 1.0/ 1.0 Points
Which of the following portfolios have the least risk?
A.A portfolio of Treasury bills
B.A portfolio of long-term United States Government bonds
C. Portfolio of U.S. common stocks of small firms
D. None of the above
Question 2 of 15 1.0/ 1.0 Points
If the average annual rate of return for common stocks is 11.7%, and for treasury bills it is 4.0%, what is the market risk premium?
A.15.8%
B.4.1%
C.7.7%
D. None of the above
Question 3 of 15 1.0/ 1.0 Points
Spill Oil...