Multiple Choice
A portfolio approach to managing a company's financial resource fit is based on:
A) diversifying risk across a broad spectrum of businesses.
B) the risk/reward concept of financial analysis.
C) the fact that different businesses have different cash flow and investment characteristics.
D) acknowledging that each business unit has varying degrees of opportunity.
E) All of these.
Correct Answer:

Verified
Correct Answer:
Verified
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