Financial Markets-final
1. Why was the Yale portfolio primarily in bonds and other “safe” investments? • Yale was following the best practice advice of Joe McNay • Yale did not want the strong variation that are common in investment • Yale had too much money for other investments • Yale did not have a portfolio manager 2. Which of the following is NOT an example of moral hazard? • Lying about farming yields to collect insurance money. • Neglecting to replace smoke detector batteries when insured against fire. • Knowingly building a house in an area susceptible to floods
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- Financial Markets-final
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- Geüpload op
- 17 oktober 2021
- Aantal pagina's
- 7
- Geschreven in
- 2021/2022
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- Tentamen (uitwerkingen)
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- Vragen en antwoorden
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financial markets final