The measure of risk most often associated with the Markowitz portfolio model is the

a. expected return of the portfolio.
b. annual interest on the portfolio.
c. variance of the portfolio's return.
d. number of investments listed in the portfolio.


c
RATIONALE: The measure of risk most often associated with the Markowitz portfolio model is the variance of the portfolio's return.

Business

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Researchers have identified a range of environmental factors controlled by the organization that can either stimulate or stifle creativity. This statement relates to which type of support for creativity?

A. supervisory support B. work group support C. organizational support D. coordinated support

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Which party bears the blame in case of an ethical breach in the supply chain?

A. suppliers B. suppliers of suppliers C. the primary firm D. distributors

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When indirect materials are issued to production, the Manufacturing Overhead account is credited

Indicate whether the statement is true or false

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Flexible expenses are best understood as those expenses over which you have little or no control

Indicate whether the statement is true or false

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