Deck 7: Investment Companies: Mutual Funds

ملء الشاشة (f)
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سؤال
The only costs of investing in a mutual fund are the commissions to buy and sell the shares.
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سؤال
Investment companies pay no taxes on their earnings.
سؤال
The net asset value of a mutual fund depends on the difference between the fund's assets and liabilities and the number of shares outstanding.
سؤال
The shares of a mutual often sell for discount from net asset value.
سؤال
A mutual fund has a fixed capital structure.
سؤال
The shares of no-load mutual funds sell for their net asset value.
سؤال
Investments in mutual funds permit the investor to avoid market risk.
سؤال
A small cap fund has total assets of less than $100 million.
سؤال
A money market mutual fund is an illustration of a no-load fund.
سؤال
The net asset value of a mutual fund rises when it distributes capital gains.
سؤال
Empirical studies of returns earned by mutual funds suggest they consistently outperform the market.
سؤال
In order to sell securities to the general public,a mutual fund must register its securities and prepare a prospectus detailing its objectives and costs to investors.
سؤال
The income earned by a mutual fund is taxed through the stockholders' income tax returns.
سؤال
An index fund seeks to duplicate the composition of an index such as the S&P 500.
سؤال
If an investment company were liquidated,the investor should receive the net asset value.
سؤال
If a mutual fund specializes in the securities of one sector of the economy,unsystematic risk may not be reduced.
سؤال
Dividends are the primary source of returns from an investment in a mutual fund.
سؤال
The loading fee charged by a mutual fund is paid when the shares are sold.
سؤال
The portfolio manager of a value fund uses analytical techniques such as a price to earnings ratio.
سؤال
The shares of load mutual funds sell for a discount from their net asset value.
سؤال
If mutual fund shares are purchased just prior to the fund's annual distribution,the investor becomes responsible for taxes on the distribution.
سؤال
A high beta coefficient for a mutual fund is desirable if the investor is seeking a conservative investment.
سؤال
Acquiring shares in no load funds is one means to avoid 12b-1 fees.
سؤال
The advantages offered by investment companies include
1)professional management
2)avoidance of income taxes by the investor
3)portfolio diversification

A) 1 and 2
B) 1 and 3
C) 2 and 3
D) all of these choices
سؤال
An index fund seeks to duplicate an aggregate measure of the market or a segment of the market.
سؤال
An exit fee (e.g.,3 percent)has the same impact on an investor's return as an equal load fee (e.g.,3 percent).
سؤال
The Sharpe index standardizes performance by the portfolio's beta.
سؤال
High tax efficiency suggests that a fund's after-tax return is comparable to its before-tax return.
سؤال
Mutual funds report their returns on a before-tax basis.
سؤال
No-load funds with 12b-1 fees are able to charge their existing shareholders for marketing expenses.
سؤال
The Treynor index assumes that portfolios are not well diversified.
سؤال
Beta coefficients may be computed for investment companies and used to compute risk-adjusted rates of return.
سؤال
Mutual funds reduce unsystematic risk,but not systematic risk.
سؤال
Mutual funds ____ realized capital gains and income (e.g.,dividends received).

A) retain
B) reinvest
C) distribute
D) distribute or reinvest
سؤال
Funds that perform well in one year tend to earn consistently higher returns in subsequent years.
سؤال
The Jensen index compares actual performance to the risk-adjusted required performance.
سؤال
The S&P 500 stock index may be an inappropriate benchmark for a small-cap fund.
سؤال
High portfolio turnover is associated with high tax efficiency.
سؤال
Open-end investment companies

A) have a fixed number of shares
B) issue new stock whenever investors buy shares
C) may sell for a discount from net asset value
D) redeem shares at the investor's cost
سؤال
If a mutual fund portfolio manager earns a return that exceeds the return on the S&P 500 stock index,that investor outperformed the market on a risk-adjusted basis.
سؤال
The net asset value of a mutual fund rises with

A) higher stock prices
B) lower stock prices
C) larger number of shares
D) increased liabilities
سؤال
Mutual funds with beta coefficients greater than 1.0

A) have outperformed the market
B) have underperformed the market
C) have more systematic risk than the market
D) have less systematic risk than the market
سؤال
If an investor's excess return is negative,

A) the realized return was less than the return earned by the market
B) the required return exceeded the realized return
C) the investor constructed a poorly diversified portfolio
D) the investor's portfolio had excessive diversification
سؤال
An index fund limits its portfolio to

A) high quality securities
B) stocks that respond to changes in the Consumer Price Index
C) stocks included in an aggregate measure of stock prices
D) stocks of firms in a particular industry
سؤال
If the individual seeks to reduce risk,that investor should not acquire which of the following types of funds?

A) money market mutual fund
B) sector fund
C) balanced fund
D) index fund
سؤال
Empirical studies of returns earned by investment companies indicate that

A) no funds outperform the market consistently
B) most funds are less risky than the market
C) most funds outperform the market consistently
D) few funds outperform the market consistently
سؤال
Which of the following is true?

A) Mutual funds report returns before adjusting for taxes.
B) 12b-1 fees exceed a fund's NAV.
C) Small cap funds cannot have load fees.
D) Exchange-traded funds exchange their portfolios.
سؤال
The cost of investing in a mutual fund includes
1)the loading charges
2)commissions when the fund buys and sells securities
3)management fees

A) 1 and 2
B) 1 and 3
C) 2 and 3
D) all of these choices
سؤال
If an investor purchases shares in a no-load fund for $36,receives cash distributions of $1,and redeems the shares after one year for $42,what is the percentage return on the investment?
سؤال
Index funds tend to track

A) the stock market as a whole
B) the bond market
C) a specific measure of the market
D) the return on other index funds
سؤال
Since mutual funds make investments in efficient financial markets,they

A) cannot outperform the market consistently
B) should not outperform the market consistently
C) will underperform the market when securities prices decline
D) primarily bear unsystematic risk
سؤال
Which of the following is not an investment company?

A) a money market mutual fund
B) an index fund
C) a commercial bank
D) a growth mutual fund
سؤال
One means to adjust for risk is to

A) standardize funds' return by their beta coefficients
B) compute their rates of return including both income and capital gain distributions
C) standardize funds' costs by an aggregate index of mutual fund expenses
D) divide each funds' return by the return on the market
سؤال
Rates of return reported by mutual funds

A) are reported after taxes
B) consider the impact of loading fees
C) are based on change in net asset value and the fund's distributions
D) are adjusted for the systematic risk the fund bears
سؤال
A style portfolio manager offers two things:

A) investment skill and market timing
B) the specific style combined with a low beta
C) a high beta and investment timing
D) investment skill combined with the specific style
سؤال
A mutual fund's net asset value is $50,but the fund charges an exit fee of 1 percent of net asset value and a load fee of 4 percent of net asset value.An individual purchases the shares.During the year the fund distributes $2.34.The net asset value rises to $58.38 and the investor redeems the shares.
a.What is the percentage return the fund can report that was achieved by its portfolio managers?

b.What is the percentage return the individual earned on the investment?

c.Why are the two percentages different?
سؤال
Which of the following is a reason for selecting a mutual fund?

A) its historic return
B) high tax efficiency
C) charging 12b-1 fees instead of load fees
D) often realizing portfolio gains
سؤال
An exit fee has the same impact of

A) a load fee of the same percentage
B) a 12b-1 fee with the same percentage
C) commissions paid by a mutual fund to buy securities
D) management fees
سؤال
Mutual fund A earned 10 percent while B earned 8 percent.The standard deviations of the returns were 10 percent and 7 percent,respectively.According to the Sharpe ratio,which fund performed better?
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ملء الشاشة (f)
exit full mode
Deck 7: Investment Companies: Mutual Funds
1
The only costs of investing in a mutual fund are the commissions to buy and sell the shares.
False
2
Investment companies pay no taxes on their earnings.
True
3
The net asset value of a mutual fund depends on the difference between the fund's assets and liabilities and the number of shares outstanding.
True
4
The shares of a mutual often sell for discount from net asset value.
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5
A mutual fund has a fixed capital structure.
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6
The shares of no-load mutual funds sell for their net asset value.
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7
Investments in mutual funds permit the investor to avoid market risk.
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8
A small cap fund has total assets of less than $100 million.
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9
A money market mutual fund is an illustration of a no-load fund.
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10
The net asset value of a mutual fund rises when it distributes capital gains.
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11
Empirical studies of returns earned by mutual funds suggest they consistently outperform the market.
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12
In order to sell securities to the general public,a mutual fund must register its securities and prepare a prospectus detailing its objectives and costs to investors.
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13
The income earned by a mutual fund is taxed through the stockholders' income tax returns.
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14
An index fund seeks to duplicate the composition of an index such as the S&P 500.
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15
If an investment company were liquidated,the investor should receive the net asset value.
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16
If a mutual fund specializes in the securities of one sector of the economy,unsystematic risk may not be reduced.
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17
Dividends are the primary source of returns from an investment in a mutual fund.
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18
The loading fee charged by a mutual fund is paid when the shares are sold.
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19
The portfolio manager of a value fund uses analytical techniques such as a price to earnings ratio.
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20
The shares of load mutual funds sell for a discount from their net asset value.
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21
If mutual fund shares are purchased just prior to the fund's annual distribution,the investor becomes responsible for taxes on the distribution.
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22
A high beta coefficient for a mutual fund is desirable if the investor is seeking a conservative investment.
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23
Acquiring shares in no load funds is one means to avoid 12b-1 fees.
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24
The advantages offered by investment companies include
1)professional management
2)avoidance of income taxes by the investor
3)portfolio diversification

A) 1 and 2
B) 1 and 3
C) 2 and 3
D) all of these choices
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25
An index fund seeks to duplicate an aggregate measure of the market or a segment of the market.
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26
An exit fee (e.g.,3 percent)has the same impact on an investor's return as an equal load fee (e.g.,3 percent).
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27
The Sharpe index standardizes performance by the portfolio's beta.
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28
High tax efficiency suggests that a fund's after-tax return is comparable to its before-tax return.
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29
Mutual funds report their returns on a before-tax basis.
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30
No-load funds with 12b-1 fees are able to charge their existing shareholders for marketing expenses.
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31
The Treynor index assumes that portfolios are not well diversified.
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32
Beta coefficients may be computed for investment companies and used to compute risk-adjusted rates of return.
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33
Mutual funds reduce unsystematic risk,but not systematic risk.
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34
Mutual funds ____ realized capital gains and income (e.g.,dividends received).

A) retain
B) reinvest
C) distribute
D) distribute or reinvest
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35
Funds that perform well in one year tend to earn consistently higher returns in subsequent years.
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36
The Jensen index compares actual performance to the risk-adjusted required performance.
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37
The S&P 500 stock index may be an inappropriate benchmark for a small-cap fund.
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38
High portfolio turnover is associated with high tax efficiency.
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39
Open-end investment companies

A) have a fixed number of shares
B) issue new stock whenever investors buy shares
C) may sell for a discount from net asset value
D) redeem shares at the investor's cost
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40
If a mutual fund portfolio manager earns a return that exceeds the return on the S&P 500 stock index,that investor outperformed the market on a risk-adjusted basis.
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41
The net asset value of a mutual fund rises with

A) higher stock prices
B) lower stock prices
C) larger number of shares
D) increased liabilities
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42
Mutual funds with beta coefficients greater than 1.0

A) have outperformed the market
B) have underperformed the market
C) have more systematic risk than the market
D) have less systematic risk than the market
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43
If an investor's excess return is negative,

A) the realized return was less than the return earned by the market
B) the required return exceeded the realized return
C) the investor constructed a poorly diversified portfolio
D) the investor's portfolio had excessive diversification
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44
An index fund limits its portfolio to

A) high quality securities
B) stocks that respond to changes in the Consumer Price Index
C) stocks included in an aggregate measure of stock prices
D) stocks of firms in a particular industry
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45
If the individual seeks to reduce risk,that investor should not acquire which of the following types of funds?

A) money market mutual fund
B) sector fund
C) balanced fund
D) index fund
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46
Empirical studies of returns earned by investment companies indicate that

A) no funds outperform the market consistently
B) most funds are less risky than the market
C) most funds outperform the market consistently
D) few funds outperform the market consistently
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47
Which of the following is true?

A) Mutual funds report returns before adjusting for taxes.
B) 12b-1 fees exceed a fund's NAV.
C) Small cap funds cannot have load fees.
D) Exchange-traded funds exchange their portfolios.
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48
The cost of investing in a mutual fund includes
1)the loading charges
2)commissions when the fund buys and sells securities
3)management fees

A) 1 and 2
B) 1 and 3
C) 2 and 3
D) all of these choices
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49
If an investor purchases shares in a no-load fund for $36,receives cash distributions of $1,and redeems the shares after one year for $42,what is the percentage return on the investment?
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50
Index funds tend to track

A) the stock market as a whole
B) the bond market
C) a specific measure of the market
D) the return on other index funds
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51
Since mutual funds make investments in efficient financial markets,they

A) cannot outperform the market consistently
B) should not outperform the market consistently
C) will underperform the market when securities prices decline
D) primarily bear unsystematic risk
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52
Which of the following is not an investment company?

A) a money market mutual fund
B) an index fund
C) a commercial bank
D) a growth mutual fund
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53
One means to adjust for risk is to

A) standardize funds' return by their beta coefficients
B) compute their rates of return including both income and capital gain distributions
C) standardize funds' costs by an aggregate index of mutual fund expenses
D) divide each funds' return by the return on the market
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54
Rates of return reported by mutual funds

A) are reported after taxes
B) consider the impact of loading fees
C) are based on change in net asset value and the fund's distributions
D) are adjusted for the systematic risk the fund bears
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55
A style portfolio manager offers two things:

A) investment skill and market timing
B) the specific style combined with a low beta
C) a high beta and investment timing
D) investment skill combined with the specific style
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56
A mutual fund's net asset value is $50,but the fund charges an exit fee of 1 percent of net asset value and a load fee of 4 percent of net asset value.An individual purchases the shares.During the year the fund distributes $2.34.The net asset value rises to $58.38 and the investor redeems the shares.
a.What is the percentage return the fund can report that was achieved by its portfolio managers?

b.What is the percentage return the individual earned on the investment?

c.Why are the two percentages different?
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57
Which of the following is a reason for selecting a mutual fund?

A) its historic return
B) high tax efficiency
C) charging 12b-1 fees instead of load fees
D) often realizing portfolio gains
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58
An exit fee has the same impact of

A) a load fee of the same percentage
B) a 12b-1 fee with the same percentage
C) commissions paid by a mutual fund to buy securities
D) management fees
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59
Mutual fund A earned 10 percent while B earned 8 percent.The standard deviations of the returns were 10 percent and 7 percent,respectively.According to the Sharpe ratio,which fund performed better?
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