• 2022-06-07
    The covariance of the market"s returns with the stock"s returns is 0.007 and the standard deviation of the market"s returns is 0.15. What is the stock"s beta
    A: 0.23
    B: 0.31
    C: 0.57
  • B

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    • 0

      The stock price fluctuations have sparked the investor’s concern about insider trading and market ________.

    • 1

      The economy’s two most important financial markets are A: the investment market and the saving market. B: the bond market and the stock market. C: banks and the stock market. D: financial markets and financial institutions.

    • 2

      Will the covariance of returns for two common stocks be negative if the actual returns on both stocks tend to be: Above their expected returns Below their expected returns at the same time at the same time () A: No No B: No Yes C: Yes No

    • 3

      Relative to the underlying stock, a call option always has A: a higher beta and a higher standard deviation of return. B: a lower beta and a higher standard deviation of return. C: a higher beta and a lower standard deviation of return. D: a lower beta and a lower standard deviation of return.

    • 4

      What is the Fed's main concern according to Mr. Gramley A: To provide liquidity to the market. B: To keep a close watch on Wall Street, if there is a stock market crash, it will lower interest rates. C: To observe the influence of a sliding market on consumer confidence and give a timely response. D: To prevent the stock market from sliding too muc