GLO_CWM_LVL_1 Exam Question 6
Mr. Shyam has a portfolio consisting of two stocks A & B. Stock A has a standard deviation of 5 % while stock B has a standard deviation of 15%. Stock A comprises 40% of the portfolio and Stock B consists of
60%. If the correlation of returns of A& B is .5, the variance of return on the portfolio is _________.
60%. If the correlation of returns of A& B is .5, the variance of return on the portfolio is _________.
GLO_CWM_LVL_1 Exam Question 7
A portfolio consists of 3 securities.

What is the standard deviation of the portfolio?

What is the standard deviation of the portfolio?
GLO_CWM_LVL_1 Exam Question 8
Under pure flexible exchange rate regime, ________ is not maintained
GLO_CWM_LVL_1 Exam Question 9
What is the present value of the following cash flows,if the Interest rate is 8%


GLO_CWM_LVL_1 Exam Question 10
Which among the following is not an advantage of setting up a trust?
Premium Bundle
Newest GLO_CWM_LVL_1 Exam PDF Dumps shared by Actual4test.com for Helping Passing GLO_CWM_LVL_1 Exam! Actual4test.com now offer the updated GLO_CWM_LVL_1 exam dumps, the Actual4test.com GLO_CWM_LVL_1 exam questions have been updated and answers have been corrected get the latest Actual4test.com GLO_CWM_LVL_1 pdf dumps with Exam Engine here:
(1027 Q&As Dumps, 30%OFF Special Discount: Freepdfdumps)