Exam 3: Selecting Investments in a Global Market

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Diversification with foreign securities can help reduce portfolio risk.

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What is a bond provision that specifies payments the issuer must make to redeem a given percentage of the outstanding issue prior to maturity known as?

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It is very important when diversifying that the correlation between rates of return for various countries be high and very stable over time.

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Antiques, art, coins, stamps, jewellery, etc., are not included in the investment portfolios of financial institutions because

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The total domestic return on German bonds is the return that would be experienced by a Canadian investor who owned German bonds.

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Which of the following statements concerning historical investment risk and return is false?

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Agency securities that are issued by Crown corporations and various agencies, are direct obligation of the government.

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A Eurobond is an international bond

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Exhibit 3-2 USE THE FOLLOWING INFORMATION FOR THE NEXT PROBLEM(S) Real Returns INVESTMENT REAL ANNUAL RETURN Large company stock 6.50\% Small capitalization stock 8.60\% Long-term corporate bonds 3.60\% Long-term government bonds 2.80\% Canadian Treasury bills 1.03\% The annual rate of inflation is 2.5% -Refer to Exhibit 3-2. What is the T-bill nominal return?

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What is the original maturity of a Canadian Treasury bill?

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An investor who purchases a call option:

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Exhibit 3-1 USE THE FOLLOWING INFORMATION FOR THE NEXT PROBLEM(S) Security Annual Percentage Return Canadian government T-bills 3.04 Long-term government bonds 5.75 Long-term corporate bonds 6.80 Large capitalization common stocks 13.50 Small capitalization common stocks 15.60 The annual rate of inflation is 2%. -Refer to Exhibit 3-1. What is the real return on T-bills?

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Exhibit 3-1 USE THE FOLLOWING INFORMATION FOR THE NEXT PROBLEM(S) Security Annual Percentage Return Canadian government T-bills 3.04 Long-term government bonds 5.75 Long-term corporate bonds 6.80 Large capitalization common stocks 13.50 Small capitalization common stocks 15.60 The annual rate of inflation is 2%. -Refer to Exhibit 3-1. What is the real return on small capitalization stocks?

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A return series has an arithmetic mean of 12.8% and standard deviation of 7.8%. Assuming the returns are normally distributed, what is the range of returns that an investor would expect to receive 95% of the time?

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Which of the following statements regarding real estate investments is false?

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An agreement that provides for the future delivery or receipt of an asset at a specified date for a specified price is a

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If the real return for corporate bonds was 4% and the inflation rate was 2%, what is the nominal return for corporate bonds?

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A return series has an arithmetic mean of 10.5% and standard deviation of 13%. Assuming the returns are normally distributed, what is the range of returns that an investor would expect to receive 90% of the time?

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The correlation between Canadian government bonds and U.K. government bonds is

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The purchase and sale of commodities for current delivery and consumption is known as dealing in the _________________ market.

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