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FINC 306 EXAM 3 UTK 100% ACCURATE

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14.25% - ANSWERStock A has an expected return of 12%, and Stock B has an expected return of 15%. If you invest $10,000 in Stock A and $30,000 in Stock B, what is the expected return for your portfolio? 13.5% 12% 15% 14.25% between 0 and 1 - ANSWERWhat is the average correlation between a randomly selected pair of U.S. stocks?

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FINC 306

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FINC 306 EXAM 3 UTK 100%
ACCURATE
14.25% - ANSWERStock A has an expected return of 12%, and Stock B has an
expected return of 15%. If you invest $10,000 in Stock A and $30,000 in Stock B, what
is the expected return for your portfolio?

13.5%

12%

15%

14.25%

between 0 and 1 - ANSWERWhat is the average correlation between a randomly
selected pair of U.S. stocks?

between 0 and 1
1
0
-1

False - ANSWERThink about a portfolio where $100,000 is spread equally across 10
stocks. The portfolio variance is the average of the variances of the 10 stocks.
True
False

between -1 and 0 - ANSWERWhich correlation will result in the greatest diversification
benefit?
between 0 and 1
0
between -1 and 0

market risk - ANSWERWhich is another name for systematic risk?
idiosyncratic risk
firm-specific risk
diversifiable risk
market risk

idiosyncratic risk - ANSWERWhich is another name for diversifiable risk?
systematic risk
idiosyncratic risk
market risk

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FINC 306
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FINC 306

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  • finc 306
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