In the standard model of investment management, investors care only for: a. The return and the risk of their portfolio. b. The return, the risk and the degree of ambiguity of their portfolio. c. The return of their portfolio when the market is bullish. d. The relative level of profit they will make in comparison to other investors.

Financial Management: Theory & Practice
16th Edition
ISBN:9781337909730
Author:Brigham
Publisher:Brigham
Chapter25: Portfolio Theory And Asset Pricing Models
Section: Chapter Questions
Problem 11MC
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In the standard model of investment management, investors care only for:

a. The return and the risk of their portfolio.

b. The return, the risk and the degree of ambiguity of their portfolio.

c. The return of their portfolio when the market is bullish.

d. The relative level of profit they will make in comparison to other investors.

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