700+ câu trắc nghiệm Đầu tư dự án có đáp án - Phần 13

If a portfolio had a return of 10%, the risk free asset return was 4%, and the standard deviation of the portfolio's excess returns was 25%, the risk premium would be_____.

3/30

If a portfolio had a return of 10%, the risk free asset return was 4%, and the standard deviation of the portfolio's excess returns was 25%, the risk premium would be_____.

35%

6%

14%

21%

29%

Giải thích

Chọn đáp án B