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1. Which portfolio of stocks is riskier SPY or WMCR? Base your assessment of ris

ID: 2627681 • Letter: 1

Question

1. Which portfolio of stocks is riskier SPY or WMCR? Base your assessment of risk on the Beta of each ETF that is supplied by Yahoo Finance.

SPY

WMCR

Not possible to answer

Equal Risk

2. Stock market bubbles and subsequent crashes are examples of market:

risk aversion.

inefficiency.

weak form efficiency.

strong form efficiency.

3.

SPY

WMCR

Not possible to answer

Equal Risk

2. Stock market bubbles and subsequent crashes are examples of market:

risk aversion.

inefficiency.

weak form efficiency.

strong form efficiency.

3.

Explanation / Answer

spy

risk aversion.

1. if UNG is less risky than SPY, the answer is true. But you have to know the risk level of both and you did not supply it.

2. The answer is c because you did not provide the needed information. Otherwise the answer is

3. True because by diversifying with a properly selected set of investments you can smooth out portfolio fluctuations.

risk aversion.

1. if UNG is less risky than SPY, the answer is true. But you have to know the risk level of both and you did not supply it.

2. The answer is c because you did not provide the needed information. Otherwise the answer is

3. True because by diversifying with a properly selected set of investments you can smooth out portfolio fluctuations.