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Examen

FINA 3315 EXAM 2 MOCK EXAM WITH ANSWER RATIONALES 2026

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Escrito en
2025/2026

FINA 3315 EXAM 2 MOCK EXAM WITH ANSWER RATIONALES 2026

Institución
FINA 3315
Grado
FINA 3315

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FINA 3315 EXAM 2 MOCK EXAM WITH
ANSWER RATIONALES 2026

◉ in the real world, most of the assets available to investors.
Answer: Tend to be somewhat positively correlated.


◉ When an investor places a_ order he agrees to buy or sell at the
best available price when the trade is executed.
Answer: market


◉ the present value of $1000 discounted at the rate of 5% per year,
to be received at the end of 3 years is equal to.
Answer: $1,000/(1.05)^3


◉ Research indicates that investors who closely monitor their
portfolios and trade quickly in response to minor fluctuations in
price.
Answer: underperform those who hold investments for the long-
term and trade infrequently


◉ compound interest is interest paid not only on the initial
investment but also on any interest earned after the initial
investment..

,Answer: true


◉ the purchase of stock with cash in the hope of earning a capital
gain is known as taking a.
Answer: long position in the stock


◉ short- term securities are bought and sold in the.
Answer: money market


◉ the efficient frontier.
Answer: represents the best attainable tradeoff between risk and
return


◉ correlation is the measure of the relationship between two series
of numbers.
Answer: true


◉ historically, what is the correct ranking of the following securities
from lowest rate of return to the highest?.
Answer: short- term government bills, long-term government bonds,
stocks

, ◉ Which one of the following statements concerning the primary
market is correct?.
Answer: the first public sale of a company's stock is called an IPO


◉ One feature that mutual funds and exchange traded funds have in
common is.
Answer: They invest in broadly diversified porfortlios of securities


◉ liquidity risk is defined as the risk of.
Answer: not being able to sell an investment conveniently and at a
reasonable price.


◉ analysts commonly use the_ to measure market return..
Answer: the Standard & Poor's 500 index


◉ Charting is the technique of.
Answer: plotting the performance of a security over time.


◉ Two assets have a coefficient of correlation of -.4..
Answer: combining these assets will reduce risk


◉ Investments advisors are legally responsible for losses incurred
by their clients..

Escuela, estudio y materia

Institución
FINA 3315
Grado
FINA 3315

Información del documento

Subido en
2 de junio de 2026
Número de páginas
29
Escrito en
2025/2026
Tipo
Examen
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