Multiple Choice
If you were to use the standard deviation as a measure of investment risk,which of the following has historically been the least risky investment?
A) Common stock of large firms
B) U.S. Treasury bills
C) Common stock of small firms
D) Long-term government bonds
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q9: Adding stocks to a bond portfolio will
Q15: The return on the market portfolio is
Q20: Discuss whether the standard deviation of a
Q32: Stocks that plot above the security market
Q33: You are thinking of adding one of
Q34: Billings,Inc.common stock has a beta of 1.2.If
Q66: You are considering investing in Ford Motor
Q116: The S&P 500 index must be used
Q128: Small company stocks have historically had higher
Q148: A stock with a beta of 1.4