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Financial Analysts Often Investigate the Value at Risk (VAR) with Simulation

Question 41

Multiple Choice

Financial analysts often investigate the value at risk (VAR) with simulation models. VAR is an indicator of:


A) how much to bid for a project
B) the expected amount of loss for a project
C) what is nearly the worst possible outcome for a project
D) the required amount of investment required for a project
E) none of these choices

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