……………. is a measure of the volatility of a particular fund in comparison to the market as a whole
A) Beta
B) R-squared
C) Standard deviation
D) Alpha
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Q14: ………….. ratio is the percentage of total
Q15: Equity related schemes are ………….. risky when
Q16: The accounting year for mutual funds ends
Q17: ……………….. of a mutual fund is the
Q18: In ………………………. Investors buy shares of Companies
Q20: ……………….. measures the dispersion in return.
A)Beta
B)R-squared
C)Standard deviation
D)Alpha
Q21: CAGR stands for …………………
A)Calculated Annual Growth Rate
B)Compounded
Q22: ………………… are simply the annual gains that
Q23: The performance of a scheme is reflected
Q24: …………………. is a myth about Mutual Fund
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