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发布时间:2024-01-12 06:09:52

[简答题] Venture capital firms reduce risk by investing in only a few companies which can be carefully monitored and nurtured.

更多"[简答题] Venture capital firms reduce "的相关试题:

[简答题] Investors in venture capital firms expect to profit quickly from their investment.
[单选题] Venture capital firms are usually organized as ________.
A. closed-end mutual funds
B. limited partnerships
C. corporations
D. nonprofit businesses
[单选题] The sources of venture capital funding have
A. shifted from wealthy individuals to pension funds and corporations.
B. shifted from pension funds and corporations to wealthy individuals.
C. decreased since 1990.
D. done none of the above.
[单选题] A typical venture capital firm has a ________ number of investors who each contribute a ________ amount of money to the fund.
A. large; small
B. small; large
C. large; large
D. small; small
[单选题] The first true venture capital firm was ________, established in 1946 by MIT president Karl Compton and local business leaders.
A. American Research & Development (ARD.
B. Charles River Development
C. Redsocks Capital
D. the MIT Fund
[简答题] Firms and individuals use the money markets primarily to warehouse funds for short
Periods of time until a more important need or a more productive use for the funds arises.
[判断题] If a joint venture among competing firms is able to cut costs by extracting wage concessions from domestic workers, national welfare increases.
A.正确
B.错误
[单选题]Unsystematic risk:
A. can be effectively eliminated by portfolio diversification.
B. is compensated for by the risk premium.
C. is measured by beta.
D. is measured by standard deviation.
E. is related to the overall economy.
Difficulty: 1 Easy
Topic: Systematic and unsystematic risk
Learning Objective: 13-03 Summarize the systematic risk principle.
[单选题] Firms undertake multinational operations in order to:
A. Hire low-wage workers
B. Manufacture in nations they have difficulty exporting to
C. Obtain necessary factor inputs
D. All of the above
[单选题] (I. Firms and individuals use the capital markets for long-term investments.
(II. Capital markets provide an alternative to investment in assets such as real estate and gold.
A. (I. is true, (II. false.
B. (I. is false, (II. true.
C. Both are true.
D. Both are false.
[单选题] (I. Firms issue common stock in far greater amounts than preferred stock.
(II. In a given year, the total volume of stock issued is much less than the volume of bonds issued.
A. (I. is true, (II. false.
B. (I. is false, (II. true.
C. Both are true.
D. Both are false.
[单选题] Brokerage firms that offered money market security accounts in the 1970s had a cost advantage over banks in attracting funds because the brokerage firms
A. were not subject to deposit reserve requirements.
B. were not subject to the deposit interest rate ceilings.
C. were not limited in how much they could borrow from depositors.
D. had the advantage of all the above.
E. had the advantage of only A and B of the above.
[简答题] Down payments are designed to reduce the likelihood of default on mortgage loans.
[单选题]Forecasting risk is defined as the possibility that:
A. some proposed projects will be rejected.
B. some proposed projects will be temporarily delayed.
C. incorrect decisions will be made due to erroneous cash flow projections.
D. some projects will be mutually exclusive.
E. tax rates could change over the life of a project.
Difficulty: 1 Easy
Topic: Forecasting risk
Learning Objective: 11-01 Perform and interpret a sensitivity analysis for a proposed investment.
[多选题]Will the development of subway help to reduce the number of urban residents?()
A.traffic jam
B.population
C.economic
D.air pollution
[单选题] Through risk-sharing activities, a financial intermediary ________ its own risk and ________ the risks of its customers.
A. reduces; increases
B. increases; reduces
C. reduces; reduces
D. increases; increases
[单选题] The certainty equivalent for risk-averse people who buy insurance is the
A. maximum loss they may sustain.
B. expected loss they may sustain.
C. insurance premium they pay.
D. profit the insurance company earns.
[单选题]The expected risk premium on a stock is equal to the expected return on the stock minus the:
A. expected market rate of return.
B. risk-free rate.
C. inflation rate.
D. standard deviation.
E. variance.
Difficulty: 1 Easy
Topic: Risk premium
Learning Objective: 13-01 Show how to calculate expected returns, variance, and standard deviation.
[单选题] "Risk spreading" is a motive most likely to be served when firms undergo:
A. Horizontal integration
B. Vertical integration
C. Conglomerate integration
D. None of the above

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