Multiple Choice
The multifactor CAPM approach entails that a security's return has ________.
A) an alpha like sensitivity to each factor.
B) a riskless performance for each factor.
C) a standard deviation type performance for each factor.
D) a beta like sensitivity to each factor.
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q41: The first behavioral finance theme involves the
Q42: In the development of the CAPM, a
Q43: Empirically, a comparison of the distribution of
Q44: Returns expected by investors logically should be
Q45: What is the return on a portfolio
Q47: An important implication of asset returns following
Q48: A major strength of the CAPM is
Q49: Which of the below is the
Q50: Describe the multifactor CAPM and how it
Q51: The Treasury bill rate is 4.50% and