One means to adjust for risk is
A) standardize funds' returns 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) to divide each funds' return by the return on the market
Correct Answer:
Verified
Q43: Which of the following is not a
Q44: Mutual funds realized capital gains and
Q45: An exit fee has the same impact
Q46: Empirical studies of returns earned by investment
Q47: If mutual funds make investments in efficient
Q49: An index fund limits its portfolio to
A)high
Q50: Rates of return reported by mutual funds
A)are
Q51: Mutual funds with beta coefficients greater than
Q52: A style portfolio manager offers two things:
A)investment
Q53: If an investor's excess return is negative,
A)the
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