The measure of risk most often associated with the Markowitz portfolio model is the portfolio
a. average return.
b. minimum return.
c. variance.
d. standard deviation.
c. variance.
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Which of the following factors leads to provider gap 2?
A. Inadequate horizontal communications B. Lack of integrated services marketing communications C. Inadequate marketing research D. Inappropriate physical evidence and servicescape E. Failure to match supply and demand
Use cases describe ________ a system accomplishes
A) what B) how C) when D) where
What links documents, allowing users to move from one to another simply by clicking on a hot spot or link?
A. Web browser B. Hypertext transport protocol C. Hypertext markup language D. Universal resource locator
A detailed description of each deliverable should be stated to provide a basis for agreement between the project team or contractor and the customer of
a. exactly what will be provided. b. general terms of the contract. c. who is responsible. d. technical requirements.