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متابعة

Risk- aversion of an investor can be measured by:

<p>a- Market Rate of Return</p> <p>b- Risk-free Rate of Return</p> <p>c- Portfolio Return</p> <p>d- None of the above</p> <p> </p>

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تم إضافة السؤال من قبل Divyesh Patel , Assistant Professional Officer- Treasury , City Of Cape Town
تاريخ النشر: 2014/12/04
Ednalyn Banuelos, CMA
من قبل Ednalyn Banuelos, CMA , Projects Accountant , Grade Ref., LLC

I agree with Mr. Kamman. A risk-averse investor would be reluctant to invest in a high return, high risk investment, so definitely he would look for a safe investment although it would generate a lower return. He would be interested to know the risk-free rate of return.

VENKITARAMAN KRISHNA MOORTHY VRINDAVAN
من قبل VENKITARAMAN KRISHNA MOORTHY VRINDAVAN , Project Execution Manager & Accounts Manager , ALI INTERNATIONAL TRADING EST.

Investors demand returns that are too high given risk aversion estimates and the stability of wealth.

Market Rate of Return (higher priority)

followed by:     Risk-free Rate of Return and  Portfolio Return

Kamran Anjum
من قبل Kamran Anjum , Head of Internal Audit , Rafhan Maize Products Company limited, Faisalabad, Pakistan, Ingredion Incorporated Gmbh

Risk averse investor tries to avoid risk as much as possible. So he will opt for investment in the following order:

1) Risk-free Rate of Return

2) Market Rate of Return / Portfolio Return

Lesley Lanag CMA CPA
من قبل Lesley Lanag CMA CPA , Senior Accountant , Takaful Emarat Insurance (P.S.C)

The measures of risks are variations and standard deviation, r-squared etc . This gives an investor an idea how likely he will gain or lose based on how dispersed the historical data are . Rate of return only measures how much he earned out of his investment. If the rates of return over a period of time did not change significantly, then it is less risky. Normally, a risk-averse investor would choose lower risk even if it comes with lower return. My answer is D none of the above.

Malik Khalid Mahmood
من قبل Malik Khalid Mahmood , Regional Finance Manager , Leosons International FZ LLC

None of the Above, Sir

MALIIK SOHAIL ABBAS
من قبل MALIIK SOHAIL ABBAS , ACCOUNTS MANAGER , AL RAWDAH GREEN SWEET WATER

Thanks i hope that you are ok  divyesh

option B & C

Alex Al Yazouri
من قبل Alex Al Yazouri , General Manager , Al Mushref Cooperative Society

B 1st then C2nd.

FITAH MOHAMED
من قبل FITAH MOHAMED , Financial Manager , FUEL AND ENERGY CO for transportion petroleum materials

a- Market Rate of Return

b- Risk-free Rate of Return

c- Portfolio Return

Altaf Bhoon ACA
من قبل Altaf Bhoon ACA , Assistant Finance Manager , Atlantic Maritime Group FZE

Well explained by the lady but it can not be measure. So Option D

 

Sulthan Sherieff
من قبل Sulthan Sherieff , Sr. Associate Actuarial , WNS Global Services

D) None of the above

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