Deck 4: Managed Funds and Other Investment Companies

ملء الشاشة (f)
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سؤال
ETF is an example of ________.

A)commingled pool
B)unlisted investments
C)listed investments
D)money market fund
استخدم زر المسافة أو
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سؤال
The aims of the ETF include all but which one of the following?

A)achieving the same return as the S&P/ASX 200
B)replicating the S&P/ASX 200
C)achieving guaranteed rates of return
D)keeping management fees very low
سؤال
________ invest in low-risk assets.

A)equity funds
B)closed-end funds
C)stable funds
D)open-end funds
سؤال
Balanced funds hold both ________.

A)ETFs and A-REITs
B)money market securities and real estates
C)equities and commodity derivatives
D)equities and fixed-income securities
سؤال
Australian Real Estate Investment Trust is an example of ________.

A)commingled pool
B)unlisted investments
C)listed investments
D)money market fund
سؤال
The main investments of growth funds are ________.

A)fixed-income securities
B)real estates
C)commodity derivatives
D)equities securities
سؤال
Equity funds commonly hold about ________ of total assets in money market securities.

A)20%
B)15%
C)10%
D)5%
سؤال
Listed investments are generally ________.

A)commingled pool
B)hedge funds
C)closed-end funds
D)open-end funds
سؤال
Life-cycle funds are ________.

A)growth funds
B)closed-end funds
C)balanced funds
D)stable funds
سؤال
________ is one of the most well-known investment management companies.

A)Macquarie Bank
B)Morningstar
C)Commonwealth Bank
D)Vanguard
سؤال
Which of the following investment policies can be classified as multi-asset funds?

A)Australian Masters Corporate Bond Fund
B)Colonial Australian Equity Fund
C)AMP Stable Fund
D)Blackrock International Equity Fund
سؤال
The industry of Australia's managed funds ranks as the ________ in the Asia-Pacific region.

A)fourth largest
B)third largest
C)second largest
D)largest
سؤال
Compared to listed investments, investors have ________ choice when choosing among unlisted investments.

A)greater
B)less
C)similar
D)the same
سؤال
A-REIT is an example of ________.

A)equity funds
B)fixed-income funds
C)property funds
D)closed-end funds
سؤال
Compared with managed funds, ETFs ________.

A)are tax exempt
B)are free from capital gains taxes
C)offer a potential tax advantage
D)are tax inefficient
سؤال
We can broadly divide the investment policies into two categories, ________.

A)fixed-income funds and equity funds
B)stable funds and growth funds
C)cash funds and equity funds
D)asset class funds and diversified funds
سؤال
The industry of Australia's managed funds ranks as the ________ in the global financial markets.

A)fourth largest
B)third largest
C)second largest
D)largest
سؤال
If an investor wants to sell their ________, they must find another investor who will buy it.

A)equity funds
B)hedge funds
C)closed-end funds
D)open-end funds
سؤال
Investors can only buy or sell ________ at fixed points in time.

A)A-REITs
B)ETFs
C)open-end funds
D)closed-end funds
سؤال
The average maturity of the assets invested by cash funds tends to be a bit more than ________.

A)one month
B)three months
C)six months
D)nine months
سؤال
The ongoing fees of managed funds are usually in the range of ________ per annum.

A)2% to 2.5%
B)1% to 2%
C)0.5% to 1%
D)1% to 2.5%
سؤال
A fund with a ________ can be particularly tax inefficient.

A)low holding in real estate
B)low portfolio turnover rate
C)high holding in real estate
D)high portfolio turnover rate
سؤال
The primary measurement unit used for assessing the value of one's stake in an investment company is ________.

A)Net Asset Value
B)Average Asset Value
C)Gross Asset Value
D)Total Asset Value
سؤال
Rank the following fund categories from most risky to least risky:
I) Equity growth fund
II) Balanced fund
III) Sector fund
IV) Money market fund

A)IV, I, III, II
B)III, II, IV, I
C)I, II, III, IV
D)III, I, II, IV
سؤال
Assume that you have recently purchased 100 shares in an investment company. Upon examining the balance sheet, you note the firm is reporting $225 million in assets, $30 million in liabilities, and 10 million shares outstanding. What is the Net Asset Value (NAV) of these shares?

A)$25.50
B)$22.50
C)$19.50
D)$1.95
سؤال
Which of the following is not a type of managed investment company?

A)Unit investment trusts
B)Closed-end funds
C)Open-end funds
D)Hedge funds
سؤال
Active managers look for ________.

A)speculative opportunities
B)the benefits of diversification
C)only good investment opportunities
D)both good and bad investment opportunities
سؤال
The contribution fee of managed funds is generally around ________ of the value of the investment.

A)2%
B)3%
C)4%
D)5%
سؤال
Which of the following result in a taxable event for investors?
I) Short-term capital gains distributions from the fund
II) Dividend distributions from the fund
III) Long-term capital gains distributions from the fund

A)I only
B)II only
C)I and II only
D)I, II and III
سؤال
Management fees for open-end and closed-end funds, typically range between ________ and ________.

A)1%; 2.5%
B)0.5%; 5%
C)2%; 5%
D)3%; 8%
سؤال
Advantages of investment companies to investors include all but which one of the following?

A)Record keeping and administration
B)Low-cost diversification
C)Professional management
D)Guaranteed rates of return
سؤال
A low-turnover fund such as an index fund may have turnover as low as ________.

A)5%
B)4%
C)3%
D)2%
سؤال
Net Asset Value is defined as ________.

A)book value of assets divided by shares outstanding
B)book value of assets minus liabilities divided by shares outstanding
C)market value of assets divided by shares outstanding
D)market value of assets minus liabilities divided by shares outstanding
سؤال
The investment philosophy of ETFs is ________.

A)pro-active management
B)demi-active management
C)passive management
D)active management
سؤال
The performance fees of managed funds is normally a percentage of the return above ________.

A)the one-year government yield
B)the guaranteed rate of return
C)the risk-free rate
D)the benchmark return
سؤال
Managed funds provide the following for their shareholders:

A)Diversification
B)Professional management
C)Record keeping and administration
D)All of these answers are provided by managed funds.
سؤال
Targeted-maturity funds are ________.

A)growth funds
B)closed-end funds
C)balanced funds
D)stable funds
سؤال
Turnover rates in equity funds in the last decade have typically been around ________ when weighted by assets under management.

A)30%
B)40%
C)50%
D)60%
سؤال
The Vanguard 500 Index Fund tracks the performance of the S&P 500. To do so the fund buys shares in each S&P 500 company ________.

A)in proportion to the market value weight of the firm's equity in the S&P500
B)in proportion to the price weight of the share in the S&P500
C)by purchasing an equal number of shares of each share in the S&P 500
D)by purchasing an equal dollar amount of shares of each share in the S&P500
سؤال
Assume that you have just purchased some shares in an investment company reporting $500 million in assets, $50 million in liabilities, and 50 million shares outstanding. What is the Net Asset Value (NAV) of these shares?

A)$12.00
B)$9.00
C)$10.00
D)$1.00
سؤال
Which of the following funds is usually most tax efficient?

A)Equity funds
B)Bond funds
C)ETFs
D)Specialised sector funds
سؤال
The ratio of trading activity of a portfolio to the assets of the portfolio, is called ________.

A)the reinvestment ratio
B)the trading rate
C)the portfolio turnover
D)the tax yield
سؤال
The assets of a managed fund are $25 million. The liabilities are $4 million. If the fund has 700 000 shares outstanding and pays a $3 dividend, what is the dividend yield?

A)5%
B)10%
C)15%
D)20%
سؤال
The difference between balanced funds and asset allocation funds is that ________.

A)balanced funds invest in bonds while asset allocation funds do not
B)asset allocation funds invest in bonds while balanced funds do not
C)balanced funds have relatively stable proportions of shares and bonds while the proportions may vary dramatically for asset allocation funds
D)balanced funds make no capital gains distributions and asset allocation funds make both dividend and capital gains distributions
سؤال
Managed funds that vary the proportions of funds invested in particular market sectors according to the fund manager's forecast of the performance of that market sector, are called ________.

A)asset allocation funds
B)balanced funds
C)index funds
D)income funds
سؤال
Unlisted investments are often called ________.

A)Unit investment trusts
B)Open-end funds
C)Closed-end funds
D)REITs
سؤال
Advantages of ETFs over managed funds include all but which one of the following?

A)ETFs trade continuously so investors can trade throughout the day
B)ETFs can be sold short or purchased on margin, unlike fund shares
C)ETF providers do not have to sell holdings to fund redemptions
D)ETF values can diverge from NAV
سؤال
A fund that invests in securities worldwide, including the United States, is called a/an ________.

A)stable fund
B)emerging market fund
C)global fund
D)regional fund
سؤال
A mutual fund has total assets outstanding of $69 million. During the year the fund bought and sold assets equal to $17.25 million. This fund's turnover rate was ________.

A)25.00%
B)28.50%
C)18.63%
D)33.40%
سؤال
Consider a mutual fund with $300 million in assets at the start of the year, and 12 million shares outstanding. If the gross return on assets is 18% and the total expense ratio is 2% of the year end value, what is the rate of return on the fund?

A)15.64%
B)16.00%
C)17.25%
D)17.50%
سؤال
Which of the following funds invest in shares of fast growing companies?

A)Balanced funds
B)Growth equity funds
C)REITs
D)Equity income funds
سؤال
Investors who wish to liquidate their holdings in an open-end fund may ________.

A)sell their shares back to the fund at a discount
B)sell their shares back to the fund at net asset value
C)sell their shares on the open market
D)sell their shares at a premium to net asset value
سؤال
Managed funds that hold both equities and fixed-income securities in relatively stable proportions are called ________.

A)income funds
B)balanced funds
C)asset allocation funds
D)index funds
سؤال
A/an ________ is an example of a closed-end fund.

A)ETF
B)samurai
C)Vanguard
D)unlisted investment
سؤال
________ funds stand ready to redeem or issue shares at their net asset value.

A)Closed-end
B)Index
C)Open-end
D)Hedge
سؤال
________ is a false statement regarding open-end funds.

A)'They offer investors a guaranteed rate of return'
B)'They offer investors a well-diversified portfolio'
C)'They redeem shares at their net asset value'
D)'They offer low-cost diversification
سؤال
The greatest percentage of growth fund assets are invested in ________.

A)bond funds
B)equity funds
C)hybrid funds
D)money market funds
سؤال
Higher portfolio turnover ________.
I) results in greater tax liability for investors
II) results in greater trading costs for the fund, which investors have to pay for
III) is a characteristic of asset allocation funds

A)I only
B)II only
C)I and II only
D)I, II and III
سؤال
An official description of a particular managed fund's planned investment policy can be found in the fund's ________.

A)prospectus
B)indenture
C)investment statement
D)12b-1 forms
سؤال
Investors who wish to liquidate their holdings in a closed-end fund may ________.

A)sell their shares back to the fund at a discount if they wish
B)sell their shares back to the fund at net asset value
C)sell their shares on the open market
D)sell their shares at a premium to net asset value if they wish
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ملء الشاشة (f)
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Deck 4: Managed Funds and Other Investment Companies
1
ETF is an example of ________.

A)commingled pool
B)unlisted investments
C)listed investments
D)money market fund
C
2
The aims of the ETF include all but which one of the following?

A)achieving the same return as the S&P/ASX 200
B)replicating the S&P/ASX 200
C)achieving guaranteed rates of return
D)keeping management fees very low
C
3
________ invest in low-risk assets.

A)equity funds
B)closed-end funds
C)stable funds
D)open-end funds
C
4
Balanced funds hold both ________.

A)ETFs and A-REITs
B)money market securities and real estates
C)equities and commodity derivatives
D)equities and fixed-income securities
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5
Australian Real Estate Investment Trust is an example of ________.

A)commingled pool
B)unlisted investments
C)listed investments
D)money market fund
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6
The main investments of growth funds are ________.

A)fixed-income securities
B)real estates
C)commodity derivatives
D)equities securities
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7
Equity funds commonly hold about ________ of total assets in money market securities.

A)20%
B)15%
C)10%
D)5%
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8
Listed investments are generally ________.

A)commingled pool
B)hedge funds
C)closed-end funds
D)open-end funds
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9
Life-cycle funds are ________.

A)growth funds
B)closed-end funds
C)balanced funds
D)stable funds
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10
________ is one of the most well-known investment management companies.

A)Macquarie Bank
B)Morningstar
C)Commonwealth Bank
D)Vanguard
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11
Which of the following investment policies can be classified as multi-asset funds?

A)Australian Masters Corporate Bond Fund
B)Colonial Australian Equity Fund
C)AMP Stable Fund
D)Blackrock International Equity Fund
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12
The industry of Australia's managed funds ranks as the ________ in the Asia-Pacific region.

A)fourth largest
B)third largest
C)second largest
D)largest
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13
Compared to listed investments, investors have ________ choice when choosing among unlisted investments.

A)greater
B)less
C)similar
D)the same
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14
A-REIT is an example of ________.

A)equity funds
B)fixed-income funds
C)property funds
D)closed-end funds
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15
Compared with managed funds, ETFs ________.

A)are tax exempt
B)are free from capital gains taxes
C)offer a potential tax advantage
D)are tax inefficient
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16
We can broadly divide the investment policies into two categories, ________.

A)fixed-income funds and equity funds
B)stable funds and growth funds
C)cash funds and equity funds
D)asset class funds and diversified funds
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17
The industry of Australia's managed funds ranks as the ________ in the global financial markets.

A)fourth largest
B)third largest
C)second largest
D)largest
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18
If an investor wants to sell their ________, they must find another investor who will buy it.

A)equity funds
B)hedge funds
C)closed-end funds
D)open-end funds
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19
Investors can only buy or sell ________ at fixed points in time.

A)A-REITs
B)ETFs
C)open-end funds
D)closed-end funds
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20
The average maturity of the assets invested by cash funds tends to be a bit more than ________.

A)one month
B)three months
C)six months
D)nine months
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21
The ongoing fees of managed funds are usually in the range of ________ per annum.

A)2% to 2.5%
B)1% to 2%
C)0.5% to 1%
D)1% to 2.5%
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22
A fund with a ________ can be particularly tax inefficient.

A)low holding in real estate
B)low portfolio turnover rate
C)high holding in real estate
D)high portfolio turnover rate
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23
The primary measurement unit used for assessing the value of one's stake in an investment company is ________.

A)Net Asset Value
B)Average Asset Value
C)Gross Asset Value
D)Total Asset Value
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24
Rank the following fund categories from most risky to least risky:
I) Equity growth fund
II) Balanced fund
III) Sector fund
IV) Money market fund

A)IV, I, III, II
B)III, II, IV, I
C)I, II, III, IV
D)III, I, II, IV
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25
Assume that you have recently purchased 100 shares in an investment company. Upon examining the balance sheet, you note the firm is reporting $225 million in assets, $30 million in liabilities, and 10 million shares outstanding. What is the Net Asset Value (NAV) of these shares?

A)$25.50
B)$22.50
C)$19.50
D)$1.95
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26
Which of the following is not a type of managed investment company?

A)Unit investment trusts
B)Closed-end funds
C)Open-end funds
D)Hedge funds
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27
Active managers look for ________.

A)speculative opportunities
B)the benefits of diversification
C)only good investment opportunities
D)both good and bad investment opportunities
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28
The contribution fee of managed funds is generally around ________ of the value of the investment.

A)2%
B)3%
C)4%
D)5%
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29
Which of the following result in a taxable event for investors?
I) Short-term capital gains distributions from the fund
II) Dividend distributions from the fund
III) Long-term capital gains distributions from the fund

A)I only
B)II only
C)I and II only
D)I, II and III
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30
Management fees for open-end and closed-end funds, typically range between ________ and ________.

A)1%; 2.5%
B)0.5%; 5%
C)2%; 5%
D)3%; 8%
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31
Advantages of investment companies to investors include all but which one of the following?

A)Record keeping and administration
B)Low-cost diversification
C)Professional management
D)Guaranteed rates of return
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32
A low-turnover fund such as an index fund may have turnover as low as ________.

A)5%
B)4%
C)3%
D)2%
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33
Net Asset Value is defined as ________.

A)book value of assets divided by shares outstanding
B)book value of assets minus liabilities divided by shares outstanding
C)market value of assets divided by shares outstanding
D)market value of assets minus liabilities divided by shares outstanding
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34
The investment philosophy of ETFs is ________.

A)pro-active management
B)demi-active management
C)passive management
D)active management
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35
The performance fees of managed funds is normally a percentage of the return above ________.

A)the one-year government yield
B)the guaranteed rate of return
C)the risk-free rate
D)the benchmark return
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36
Managed funds provide the following for their shareholders:

A)Diversification
B)Professional management
C)Record keeping and administration
D)All of these answers are provided by managed funds.
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37
Targeted-maturity funds are ________.

A)growth funds
B)closed-end funds
C)balanced funds
D)stable funds
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38
Turnover rates in equity funds in the last decade have typically been around ________ when weighted by assets under management.

A)30%
B)40%
C)50%
D)60%
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39
The Vanguard 500 Index Fund tracks the performance of the S&P 500. To do so the fund buys shares in each S&P 500 company ________.

A)in proportion to the market value weight of the firm's equity in the S&P500
B)in proportion to the price weight of the share in the S&P500
C)by purchasing an equal number of shares of each share in the S&P 500
D)by purchasing an equal dollar amount of shares of each share in the S&P500
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40
Assume that you have just purchased some shares in an investment company reporting $500 million in assets, $50 million in liabilities, and 50 million shares outstanding. What is the Net Asset Value (NAV) of these shares?

A)$12.00
B)$9.00
C)$10.00
D)$1.00
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41
Which of the following funds is usually most tax efficient?

A)Equity funds
B)Bond funds
C)ETFs
D)Specialised sector funds
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42
The ratio of trading activity of a portfolio to the assets of the portfolio, is called ________.

A)the reinvestment ratio
B)the trading rate
C)the portfolio turnover
D)the tax yield
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43
The assets of a managed fund are $25 million. The liabilities are $4 million. If the fund has 700 000 shares outstanding and pays a $3 dividend, what is the dividend yield?

A)5%
B)10%
C)15%
D)20%
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44
The difference between balanced funds and asset allocation funds is that ________.

A)balanced funds invest in bonds while asset allocation funds do not
B)asset allocation funds invest in bonds while balanced funds do not
C)balanced funds have relatively stable proportions of shares and bonds while the proportions may vary dramatically for asset allocation funds
D)balanced funds make no capital gains distributions and asset allocation funds make both dividend and capital gains distributions
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45
Managed funds that vary the proportions of funds invested in particular market sectors according to the fund manager's forecast of the performance of that market sector, are called ________.

A)asset allocation funds
B)balanced funds
C)index funds
D)income funds
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46
Unlisted investments are often called ________.

A)Unit investment trusts
B)Open-end funds
C)Closed-end funds
D)REITs
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47
Advantages of ETFs over managed funds include all but which one of the following?

A)ETFs trade continuously so investors can trade throughout the day
B)ETFs can be sold short or purchased on margin, unlike fund shares
C)ETF providers do not have to sell holdings to fund redemptions
D)ETF values can diverge from NAV
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48
A fund that invests in securities worldwide, including the United States, is called a/an ________.

A)stable fund
B)emerging market fund
C)global fund
D)regional fund
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49
A mutual fund has total assets outstanding of $69 million. During the year the fund bought and sold assets equal to $17.25 million. This fund's turnover rate was ________.

A)25.00%
B)28.50%
C)18.63%
D)33.40%
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50
Consider a mutual fund with $300 million in assets at the start of the year, and 12 million shares outstanding. If the gross return on assets is 18% and the total expense ratio is 2% of the year end value, what is the rate of return on the fund?

A)15.64%
B)16.00%
C)17.25%
D)17.50%
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51
Which of the following funds invest in shares of fast growing companies?

A)Balanced funds
B)Growth equity funds
C)REITs
D)Equity income funds
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52
Investors who wish to liquidate their holdings in an open-end fund may ________.

A)sell their shares back to the fund at a discount
B)sell their shares back to the fund at net asset value
C)sell their shares on the open market
D)sell their shares at a premium to net asset value
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53
Managed funds that hold both equities and fixed-income securities in relatively stable proportions are called ________.

A)income funds
B)balanced funds
C)asset allocation funds
D)index funds
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54
A/an ________ is an example of a closed-end fund.

A)ETF
B)samurai
C)Vanguard
D)unlisted investment
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55
________ funds stand ready to redeem or issue shares at their net asset value.

A)Closed-end
B)Index
C)Open-end
D)Hedge
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56
________ is a false statement regarding open-end funds.

A)'They offer investors a guaranteed rate of return'
B)'They offer investors a well-diversified portfolio'
C)'They redeem shares at their net asset value'
D)'They offer low-cost diversification
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57
The greatest percentage of growth fund assets are invested in ________.

A)bond funds
B)equity funds
C)hybrid funds
D)money market funds
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58
Higher portfolio turnover ________.
I) results in greater tax liability for investors
II) results in greater trading costs for the fund, which investors have to pay for
III) is a characteristic of asset allocation funds

A)I only
B)II only
C)I and II only
D)I, II and III
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59
An official description of a particular managed fund's planned investment policy can be found in the fund's ________.

A)prospectus
B)indenture
C)investment statement
D)12b-1 forms
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60
Investors who wish to liquidate their holdings in a closed-end fund may ________.

A)sell their shares back to the fund at a discount if they wish
B)sell their shares back to the fund at net asset value
C)sell their shares on the open market
D)sell their shares at a premium to net asset value if they wish
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